Analysis of Financial Data

Analysis of Financial Data

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Summary

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 i.e. regression and time series methods including discussion of nonstationary models, multivariate concepts such as cointegration and models of conditional volatility.

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Analysis of Financial Data by Gary Koop

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 i.e. regression and time series methods including discussion of nonstationary models, multivariate concepts such as cointegration and models of conditional volatility.   It shows students how to apply such techniques in the context of real-world empirical problems.  It adopts a largely non-mathematical approach relying on verbal and graphical intuition and contains 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.
Gary Koop is Professor of Economics at the University of Strathclyde.
SKU Unavailable
ISBN 13 9780470013212
ISBN 10 0470013214
Title Analysis of Financial Data
Author Gary Koop
Condition Unavailable
Binding Type Paperback
Publisher John Wiley & Sons Inc
Year published 2005-11-25
Number of pages 256
Cover note Book picture is for illustrative purposes only, actual binding, cover or edition may vary.
Note Unavailable