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Empirical Analyses

  • Claudio Schütz

摘要

This chapter outlines the rationale and design for employing a mixed methods approach to complement quantitative findings with qualitative analysis for in-depth examination. It first evaluates the philosophical basis and suitability of the approach, followed by a subchapter dedicated to the strategic choices made in employing the mixed methods approach. The overall objective is to illustrate the utility of the approach in analyzing the impact of populism on financial markets.