Mastering Statistics for Finance

Mastering Statistics for Finance

Paperback (01 Mar 2024)

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Publisher's Synopsis

"Mastering Statistics for Finance" is an essential guide for professionals, students, and academics looking to deepen their understanding of statistical methods within the context of finance. This comprehensive resource covers a wide range of topics, from the fundamentals of descriptive statistics and probability distributions to advanced concepts such as regression models, time series analysis, Bayesian statistics, and multivariate statistical methods.

Each chapter unfolds systematically, building on the knowledge acquired in previous sections, and is packed with real-world examples, case studies, and practical applications that illuminate the theoretical concepts. Whether you're analyzing stock prices, forecasting economic indicators, or optimizing investment portfolios, this book offers the tools and insights needed to perform rigorous financial analysis and make informed decisions.

Designed to bridge the gap between theory and practice, "Mastering Statistics for Finance" caters to a broad audience, including finance professionals seeking to elevate their analytical skills, academics and students pursuing finance or quantitative finance, and researchers in the field. With clear, direct exposition and a focus on the latest statistical techniques and models used in finance, this book is a valuable resource for anyone looking to excel in the complex world of financial data analysis.

Book information

ISBN: 9798883466341
Publisher: Amazon Digital Services LLC - Kdp
Imprint: Independently Published
Pub date:
Language: English
Number of pages: 406
Weight: 540g
Height: 229mm
Width: 152mm
Spine width: 21mm