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Introduction to Statistical Methods for Financial Models
Engelsk
Bogcover for Introduction to Statistical Methods for Financial Models af Thomas A Severini, 9780367657871
Specifikationer
Sprog:
Engelsk
Sider:
370
ISBN-13:
9780367657871
Indbinding:
Paperback
ISBN-10:
0367657872
Udg. Dato:
30 sep 2020
Størrelse i cm:
15,3 x 23,3 x 2,6
Oplagsdato:
30 sep 2020
Forfatter(e):

Introduction to Statistical Methods for Financial Models

Engelsk
Paperback 2020
Format:

Bog beskrivelse

This book provides an introduction to the use of statistical concepts and methods to model and analyze financial data. The ten chapters of the book fall naturally into three sections. Chapters 1 to 3 cover some basic concepts of finance, focusing on the properties of returns on an asset. Chapters 4 through 6 cover aspects of portfolio theory and the methods of estimation needed to implement that theory. The remainder of the book, Chapters 7 through 10, discusses several models for financial data, along with the implications of those models for portfolio theory and for understanding the properties of return data.

The audience for the book is students majoring in Statistics and Economics as well as in quantitative fields such as Mathematics and Engineering. Readers are assumed to have some background in statistical methods along with courses in multivariate calculus and linear algebra.

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Specifikationer
Sprog:
Engelsk
Sider:
370
ISBN-13:
9780367657871
Indbinding:
Paperback
ISBN-10:
0367657872
Udg. Dato:
30 sep 2020
Størrelse i cm:
15,3 x 23,3 x 2,6
Oplagsdato:
30 sep 2020
Forfatter(e):
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