Financial Market Analysis and Behaviour 1st Edition
Financial Market Analysis and Behaviour — 1st Edition
by Emil Dinga, Camelia Oprean-Stan, Cristina-Roxana Tănăsescu, Vasile Brătian, Gabriela-Mariana Ionescu
A clear, rigorously researched guide for anyone who needs to understand how modern financial markets operate. This 1st Edition blends theoretical foundations with practical analysis to illuminate market dynamics, price formation, risk measurement and the behavioral factors that shape investor decisions. Written by a team of respected academics and practitioners, the book delivers structured insight without sacrificing accessibility.
Readers will find concise explanations of core concepts — market microstructure, volatility modelling, correlation and contagion, asset pricing and regulatory impacts — alongside empirical examples that make complex ideas actionable. Special attention is given to behavioral influences and how they interact with institutional environments, making this volume particularly useful for those working in investment, risk management, policy or financial education.
Highly relevant for students, analysts and professionals across Romania, Eastern Europe and wider European markets, the text contextualizes global financial principles with regional perspective and practical applicability. Each chapter builds toward improved analytical judgment, helping readers spot patterns, assess systemic risk and refine investment or policy decisions.
Whether you’re preparing for coursework, strengthening professional skills, or seeking a comprehensive reference on market behaviour, this book offers clear frameworks and modern evidence-based approaches. Add Financial Market Analysis and Behaviour — 1st Edition to your library for a dependable, practically oriented resource that bridges theory and real-world market challenges. Order now to deepen your understanding and sharpen your market analysis toolkit.
Note: eBooks do not include supplementary materials such as CDs, access codes, etc.


