Analysis of Financial Data
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Analysis of Financial Data
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See moreAnalysis of Financial Data teaches basic methods and techniques of data analysis to finance students. It covers many of the major tools used by the financial economist i.e. regression and time series methods including discussion of nonstationary models, multivariate concepts such as cointegration and models of conditional volatility.
Analysis of Financial Data teaches basic methods and techniques of data analysis to finance students. It covers many of the major tools used by the financial economist, such as regression and time series methods. This includes discussions of nonstationary models and multivariate concepts like cointegration and models of conditional volatility.
The book demonstrates how to apply these techniques to real-world empirical problems. Emphasising a largely non-mathematical approach, it relies on verbal and graphical intuition. The text features extensive use of real data examples and involves readers in hands-on computer work.
Analysis of Financial Data has been adapted by Gary Koop from his highly successful textbook, Analysis of Economic Data.
Book Details
INFORMATION
ISBN: 9780470013212
Publisher: John Wiley & Sons Inc
Format: Paperback / softback
Date Published: 25 November 2005
Country: United States
Imprint: John Wiley & Sons Inc
Audience: Professional and scholarly
DIMENSIONS
Spine width: 15.0mm
Width: 172.0mm
Height: 246.0mm
Weight: 425g
Pages: 256
About the Author
Gary Koop is Professor of Economics at the University of Strathclyde.
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