Chapter 2 describes the methods of exploratory data analysis, especially graphical methods, and illustrates them on real financial data. Chapter 3 covers probability distributions useful in financial analysis, especially heavy-tailed distributions, and describes methods of computer simulation of financial data. Chapter 4 covers basic methods of statistical inference, especially the use of linear models in analysis, and Chapter 5 describes methods of time series with special emphasis on models and methods applicable to analysis of financial data.
Features
* Covers statistical methods for analyzing models appropriate for financial data, especially models with outliers or heavy-tailed distributions.
* Describes both the basics of R and advanced techniques useful in financial data analysis.
* Driven by real, current financial data, not just stale data deposited on some static website.
* Includes a large number of exercises, many requiring the use of open-source software to acquire real financial data from the internet and to analyze it.
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