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Statistical Models and Methods for Financial Markets
Statistical Models and Methods for Financial Markets Summary:
Publisher: Springer | Pages: 354 | 2008-07-25| ISBN 0387778268 | PDF | 7 MB
This book presents statistical methods and models of importance to quantitative finance and links finance theory to market practice via statistical modeling and decision making. Part I provides basic background in statistics, which includes linear regression and extensions to generalized linear models and nonlinear regression, multivariate analysis, likelihood inference and Bayesian methods, and time series analysis. It also describes applications of these methods to portfolio theory and dynamic models of asset returns and their volatilities. Part II presents advanced topics in quantitative finance and introduces a substantive-empirical modeling approach to address the discrepancy between finance theory and market data. It describes applications to option pricing, interest rate markets, statistical trading strategies, and risk management. Nonparametric regression, advanced multivariate and time series methods in financial econometrics, and statistical models for high-frequency transactions data are also introduced in this connection. Credits to original uploader Please select one mirror to download
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NEWER EBOOKSOLDER EBOOKSSponsored LinksStatistical Models and Methods for Financial Markets Keywordsstatistical methods models finance theory regression multivariate analysis describes data advanced linear series applications quantitative presents financial modeling markets pricing likelihood inference analysis likelihood multivariate analysis regression multivariate bayesian methods series analysis asset returns dynamic models portfolio theory describes applicationsStatistical Models and Methods for Financial Markets download copyrightThis site does not store Statistical Models and Methods for Financial Markets on its server. We only index and link to Statistical Models and Methods for Financial Markets provided by other sites. Please contact the content providers to delete Statistical Models and Methods for Financial Markets if any and email us, we'll remove relevant links or contents immediately. |
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