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Dynamic Economic Problems ­with Regime Switches
Dynamic Modeling and Econometrics in Economics and Finance
By Josef L. Haunschmied (Edited by), Raimund M. Kovacevic (Edited by), Willi Semmler (Edited by), Vladimir M. Veliov (Edited by)

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Format
Hardback, 309 pages
Other Formats Available

Paperback : HK$1,200.00

Published
Switzerland, 1 November 2020


Chapter 1


Managing, Inducing, and Preventing Regime Shifts: A Review of the Literature.


Ngo Van Long



Chapter 2


Institutional change, education and population growth: lessons from dynamic modelling


Gustav Feichtinger, Andreas Novak, Franz Wirl



Chapter 3


Poverty Traps and Disaster Insurance in a Bi-Level Decision Framework


Raimund Kovacevic, Willi Semmler



Chapter 4


Rationally risking addiction: a two-stage approach


Michael Kuhn, Stefan Wrzaczek



Chapter 5


Modelling social status and fertility decisions under differential mortality


Sergey Orlov, Elena Rovenskaya, Matthew Cantele, Marcin Stonawski, Vegard Skirbekk



Chapter 6


Financing Climate Change Policies: A Multi-Phase Integrated Assessment Model for Mitigation and Adaption


Willi Semmler, Helmut Maurer, Tony Bonen



Chapter 7


On Scientific Innovations and Constraints: A Dynamic Analysis


Yuri Yegorov, Franz Wirl



Chapter 8


On the structure and regularity of optimal solutions in a differential game with regime switching and spillovers.


Anton Bondarev, Dmitry Gromov



Chapter 9


Optimal switching from competition to cooperation: a preliminary exploration

Raouf Boucekkine, Carmen Camacho, Benteng Zou



Chapter 10


Delaying Product Introduction in a Duopoly: A Strategic Dynamic Analysis


Herbert Dawid, Serhat Gezer



Chapter 11


On the Cournot-Ramsey model with non-linear demand functions


L.uca Lambertini, George Leitmann



Chapter 12


Optimal Taxation with Endogenous Population Growth and the Risk of Environmental Disaster


Tapio Palokangas



Chapter 13


A Regime-Switching Model with Applications to Finance: Markovian and Non-Markovian Cases

Emel Savku, Gerhard Wilhelm Weber


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Product Description


Chapter 1


Managing, Inducing, and Preventing Regime Shifts: A Review of the Literature.


Ngo Van Long



Chapter 2


Institutional change, education and population growth: lessons from dynamic modelling


Gustav Feichtinger, Andreas Novak, Franz Wirl



Chapter 3


Poverty Traps and Disaster Insurance in a Bi-Level Decision Framework


Raimund Kovacevic, Willi Semmler



Chapter 4


Rationally risking addiction: a two-stage approach


Michael Kuhn, Stefan Wrzaczek



Chapter 5


Modelling social status and fertility decisions under differential mortality


Sergey Orlov, Elena Rovenskaya, Matthew Cantele, Marcin Stonawski, Vegard Skirbekk



Chapter 6


Financing Climate Change Policies: A Multi-Phase Integrated Assessment Model for Mitigation and Adaption


Willi Semmler, Helmut Maurer, Tony Bonen



Chapter 7


On Scientific Innovations and Constraints: A Dynamic Analysis


Yuri Yegorov, Franz Wirl



Chapter 8


On the structure and regularity of optimal solutions in a differential game with regime switching and spillovers.


Anton Bondarev, Dmitry Gromov



Chapter 9


Optimal switching from competition to cooperation: a preliminary exploration

Raouf Boucekkine, Carmen Camacho, Benteng Zou



Chapter 10


Delaying Product Introduction in a Duopoly: A Strategic Dynamic Analysis


Herbert Dawid, Serhat Gezer



Chapter 11


On the Cournot-Ramsey model with non-linear demand functions


L.uca Lambertini, George Leitmann



Chapter 12


Optimal Taxation with Endogenous Population Growth and the Risk of Environmental Disaster


Tapio Palokangas



Chapter 13


A Regime-Switching Model with Applications to Finance: Markovian and Non-Markovian Cases

Emel Savku, Gerhard Wilhelm Weber


Show more
Product Details
EAN
9783030545758
ISBN
303054575X
Other Information
34 Illustrations, color; 16 Illustrations, black and white; XIII, 309 p. 50 illus., 34 illus. in color.
Dimensions
23.4 x 15.6 x 1.9 centimeters (0.63 kg)

Table of Contents

Chapter 1 Managing, Inducing, and Preventing Regime Shifts: A Review of the Literature.- Chapter 2 Institutional change, education and population growth: lessons from dynamic modelling.- Chapter 3 Poverty Traps and Disaster Insurance in a Bi-Level Decision Framework.- Chapter 4 Rationally risking addiction: a two-stage approach.- Chapter 5 Modelling social status and fertility decisions under differential mortality.- Chapter 6 Financing Climate Change Policies: A Multi-Phase Integrated Assessment Model for Mitigation and Adaption.- Chapter 7 On Scientific Innovations and Constraints: A Dynamic Analysis.- Chapter 8 On the structure and regularity of optimal solutions in a differential game with regime switching and spillovers.- Chapter 9 Optimal switching from competition to cooperation: a preliminary exploration.- Chapter 10 Delaying Product Introduction in a Duopoly: A Strategic Dynamic Analysis.- Chapter 11 On the Cournot-Ramsey model with non-linear demand functions.- Chapter 12 Optimal Taxation with Endogenous Population Growth and the Risk of Environmental Disaster.- Chapter 13 A Regime-Switching Model with Applications to Finance: Markovian and Non-Markovian Cases.

About the Author

Vladimir M. Veliov is Professor and Head of research Unit "Operations Research and Control Systems (ORCOS)" at Vienna University of Technology, Austria. He has edited four books and has over 120 peer-reviewed journal publications in optimal control, variational analysis, and applications. Apart from having been a main organiser of several international workshops and conferences, Veliov has led or participated in numerous funded research projects in Europe and abroad. He is associate editor of SIAM Journal on Control and Optimization, Journal of Optimization Theory and Applications, European Journal of Mathematics, etc.

 Willi Semmler is the Arnhold Professor of Economics at  The New School for Social Research, and a former member of the Faculty of the University of Bielefeld, Germany. He was Fulbright Profesor at the University of Economics, Vienna. His research focuses on nonlinear macro-dynamics and macro-econometrics, financial economics, public and international finance, and the economics of climate change.   He is also a senior research fellow at the IIASA, Laxenburg, and consultant of multilateral organizations such as the ILO, the World Bank, and the IMF.  He is an associate editor of the journal Econometrics and Statistics.

 Josef Haunschmied holds a Ph.D. in Mathematical Economics and is a Senior Lecturer at Vienna University of Technology, Austria. He has participated in over ten research projects and edited books as well as about 20 peer-reviewed journal publications. His main interests are in operations research, economic dynamics, optimal control, mathematical business modelling and mathematical programming. 

 Raimund M. Kovacevic received his Ph.D. in Statistics at the the University of Vienna and habilitated in the field of Operations Research at the Vienna University of Technology, after having worked for several years in industry. He is Assistant Professor at at the "Institute of Stochastics and Mathematical Economics" at the Vienna University of Technology. Having co-edited two books and co-authored over over 25 journal publications, Kovacevic won the IIE Transactions 2015 Best Application Paper in Operations Engineering and Analytics award and the OR Spectrum Outstanding Reviewer Award 2016. Currently, he is a member of the editorial board of OR Spectrum. His research specialises in  stochastic optimisation and optimal control with applications in risk management and finance, electricity production and trading, economics, and epidemiology.

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