Statistical Analysis of Financial Data in S-Plus

Statistical Analysis of Financial Data in S-Plus

AngličtinaMäkká väzbaTlač na objednávku
Carmona Rene
Springer-Verlag New York Inc.
EAN: 9781441919083
Tlač na objednávku
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Podrobné informácie

This book develops the use of statistical data analysis in finance, and it uses the statistical software environment of S-PLUS as a vehicle for presenting practical implementations from financial engineering. It is divided into three parts. Part I, Exploratory Data Analysis, reviews the most commonly used methods of statistical data exploration. Its originality lies in the introduction of tools for the estimation and simulation of heavy tail distributions and copulas, the computation of measures of risk, and the principal component analysis of yield curves. Part II, Regression, introduces modern regression concepts with an emphasis on robustness and non-parametric techniques. The applications include the term structure of interest rates, the construction of commodity forward curves, and nonparametric alternatives to the Black Scholes option pricing paradigm. Part III, Time Series and State Space Models, is concerned with theories of time series and of state space models. Linear ARIMA models are applied to the analysis of weather derivatives, Kalman filtering is applied to public company earnings prediction, and nonlinear GARCH models and nonlinear filtering are applied to stochastic volatility models. The book is aimed at undergraduate students in financial engineering, master students in finance and MBA's, and to practitioners with financial data analysis concerns.

EAN 9781441919083
ISBN 1441919082
Typ produktu Mäkká väzba
Vydavateľ Springer-Verlag New York Inc.
Dátum vydania 29. decembra 2011
Stránky 455
Jazyk English
Rozmery 254 x 178
Krajina United States
Čitatelia Professional & Scholarly
Autori Carmona Rene
Ilustrácie XVI, 455 p. 138 illus.
Edícia Softcover reprint of the original 1st ed. 2004
Séria Springer Texts in Statistics