Introduction to Statistical Methods for Financial Models

Printed Book
SR 315
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SR19Per Month/24 months
Author:Severini, Thomas A
Date of Publication: 2020
Book classification:Business & Management,English Books,
No. of pages:388 Pages
Format:Paperback

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About this Product



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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SKU9780367657871
Manufacturer Number9780367657871
year published2020
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