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"Financial Econometrics: Tools for Quantitative Analysis in Finance" serves as a comprehensive guide for understanding complex financial markets through the lens of statistical and econometric principles. It is meticulously crafted for both beginners and seasoned professionals seeking to enhance their analytical toolkit. The book delves into essential topics such as volatility modeling, risk management, time series analysis, and option pricing models, equipping readers with the knowledge to make informed investment decisions. Each chapter is structured to build a solid foundation while progressively introducing advanced concepts and practical applications across various financial domains.
This book stands out by integrating traditional econometric methods with modern advancements such as machine learning and high-frequency data analysis. Readers will uncover the intricacies of market microstructure, portfolio theory, and event studies, gaining insights that are both academically rigorous and practically applicable. Authored with clarity and precision, "Financial Econometrics" transforms complex theories into accessible content, empowering readers to harness the power of data-driven decision-making in the ever-evolving financial landscape. Whether you're looking to deepen your understanding or implement sophisticated trading strategies, this text is an invaluable resource in quantitative finance.
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전자책 : 2024년 10월 15일
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국내 유일 해리포터 시리즈 오디오북
5만권이상의 영어/한국어 오디오북
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2-3 계정
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2 개 계정
17900 원 /월한국어
대한민국