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Hardback

Computational Finance and Financial Econometrics

$161.99
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This book presents mathematical, programming and statistical tools used in the real world analysis and modeling of financial data. The tools are used to model asset returns, measure risk, and construct optimized portfolios using the open source R programming language and Microsoft Excel. The author explains how to build probability models for asset returns, to apply statistical techniques to evaluate if asset returns are normally distributed, to use Monte Carlo simulation and bootstrapping techniques to evaluate statistical models, and to use optimization methods to construct efficient portfolios.

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MORE INFO
Format
Hardback
Publisher
Taylor & Francis Inc
Country
United States
Date
15 July 2023
Pages
300
ISBN
9781498775779

This book presents mathematical, programming and statistical tools used in the real world analysis and modeling of financial data. The tools are used to model asset returns, measure risk, and construct optimized portfolios using the open source R programming language and Microsoft Excel. The author explains how to build probability models for asset returns, to apply statistical techniques to evaluate if asset returns are normally distributed, to use Monte Carlo simulation and bootstrapping techniques to evaluate statistical models, and to use optimization methods to construct efficient portfolios.

Read More
Format
Hardback
Publisher
Taylor & Francis Inc
Country
United States
Date
15 July 2023
Pages
300
ISBN
9781498775779