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Introduction to Statistical Methods for Financial Models

About Introduction to Statistical Methods for Financial Models

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 those requiring data analysis.

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  • Language:
  • English
  • ISBN:
  • 9781138198371
  • Binding:
  • Hardback
  • Pages:
  • 386
  • Published:
  • July 11, 2017
  • Dimensions:
  • 250x199x25 mm.
  • Weight:
  • 712 g.
Delivery: 2-3 weeks
Expected delivery: December 5, 2024

Description of Introduction to Statistical Methods for Financial Models

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 those requiring data analysis.

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