A variety of quantitative concepts and models essential to understanding financial markets are introduced and explained in this broad overview of financial analytical tools. Coverage ranges from matrices and elementary calculus to stochastic processes, with applications to a wide range of financial topics. Practitioners, researchers, and advanced students of finance will find these tools invaluable.Although use of experimental methodology is increasing in finance, the vast majority of empirical research in finance is highly dependent on statistical analysis of data. Many empirical tests are conducted for the purpose of testing theories andanbsp;...
|Title||:||Financial Market Analytics|
|Author||:||John L. Teall|
|Publisher||:||Greenwood Publishing Group - 1999-01-01|