Introduction to statistical methods for financial models

Auteur : Severini, Thomas A
Éditeur : Taylor & Francis Ltd
ISBN : 9780367657871
Date de publication : 30 sept. 2020
Dimensions : 23,4 x 15,6 cm
Poids : 710 g
Langue : Anglais
Pays d'origine : Grande Bretagne

This book introduces the use of statistical concepts and methods to model and analyze financial data, including the market model, the single-index model, and factor models. It contains detailed numerical examples using genuine financial data along with numerous exercises including both questions requiring analytic solutions and

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