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Statistical Models and Methods for Financial Markets Through Making Each of These

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Description

Through Making Each of These Choices

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Statistical Models and Methods for Financial Markets Through Making Each of TheseThis Book Presents Statistical Methods and Models of Importance to Quantitative Finance and Links Finance Theory to Market Practice Via Statistical Modeling and Decision Making. Part I Provides Basic Background in Statistics, Which Includes Linear Regression and Extensions to Generalized Linear Models and Nonlinear Regression, Multivariate Analysis, Likelihood Inference and Bayesian Methods, and Time Series Analysis. It Also Describes Applications of

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