Introduction to Statistical Methods for Financial Models

Introduction to Statistical Methods for Financial Models

5/5

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 p.

First published
2017
Publishers
Taylor & Francis Group
Subjects
Finance·Mathematical models·Finance·Statistical methods

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