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Titlebook: Economic and Financial Modeling with Mathematica®; Hal R. Varian Book 1993 Springer Science+Business Media New York 1993 Mathematica.Simul

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978-1-4757-2283-3Springer Science+Business Media New York 1993
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Econometrics.m: A Package for Doing Econometrics in Mathematica,Econometrics is an area of applied statistics that has developed with a very strong individual flavor although its techniques are also widely used in such disciplines as biometrics, psychometrics, and sociometrics, and, to be somewhat polemical, are applicable to a far wider statistical audience than seems aware of their need.
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Book 1993on both the professional and academic fronts. Each paper provides a set of tools and examples of Mathematica in action. These tools will also be made accessible to users via a DOS-based floppy disk which will contain Mathematica Notebooks and Packages, and be packaged with the book.
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Die Beurteilung der Erfolgsrechnung, random variable) given the observed data . (fixed), summarized in the posterior density .(.|.). The observations in . define a mapping from the prior .(.) into .(.|.). This posterior distribution can also be used to integrate out the parameters when we are interested in forecasting future values, s
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Symbolic Optimization,nd-order conditions; 2) it can solve first-order conditions for optimal solutions; 3) it can depict optimal solutions graphically; 4) it can perform comparative statics analysis; 5) it can solve simple dynamic programming problems. In this chapter we will describe how to use . to perform such operat
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Economic Dynamics,s: existence—does the system have an equilibrium; uniqueness—does it have only one equilibrium; and stability—do all paths converge to the equilibrium as time goes to infinity? Though more exotic questions were raised by some (Goodwin is an example), existence, uniqueness and stability were certainl
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