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Quantitative Methods in Finance using R
Af: Matthew Burke, John Fry Engelsk Paperback
SPAR
kr 56
Quantitative Methods in Finance using R
Af: Matthew Burke, John Fry Engelsk Paperback

“The book will form a solid foundation to support the transition of students into the world of work or further research.”

Professor Jane M Binner, Chair of Finance, Department of Finance, University of Birmingham, UK

“In over 20 years of teaching quantitative methods, I have rarely come across a book such as this which meets/exceeds all the expectations of its intended audience so well”

Tuan Yu, Lecturer, Kent Business School, Canterbury, UK

“This is a fantastic book for anyone wanting to understand, learn and apply quantitative methods in finance using R” 

Professor Raphael Markellos, Professor of Finance, Norwich Business School, UK


Quantitative Methods in Finance Using R draws on the extensive teaching and research expertise of John Fry and Matt Burke, covering a wide range of quantitative methods in Finance that utilise the freely downloadable R software. With software playing an increasingly important role in finance, this book is a must-have introduction for finance students who want to explore how they can undertake their own quantitative analyses in dissertation and project work.

Assuming no prior knowledge, and taking a holistic approach, this brand new title guides you from first principles and help to build your confidence in tackling large data sets in R. 

Complete with examples and exercises with worked solutions, Fry and Burke demonstrate how to use the R freeware for regression and linear modelling, with attention given to presentation and the importance of good writing and presentation skills in project work and data analysis more generally.

Through this book, you will develop your understanding of:

Descriptive statistics

Inferential statistics

Regression

Analysis of variance

Probability regression models

Mixed models

Financial and non-financial time series


John Fry is a senior lecturer in Applied Mathematics at the University of Hull. Fry has a PhD in Mathematical Finance from the University of Sheffield. His main research interests span mathematical finance, econophysics, statistics and operations research. 

Matt Burke is a senior lecturer in Finance at Sheffield Hallam University. He holds a PhD in Finance from the University of East Anglia. Burke’s main research interests lie in asset pricing and climate finance. 

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“The book will form a solid foundation to support the transition of students into the world of work or further research.”

Professor Jane M Binner, Chair of Finance, Department of Finance, University of Birmingham, UK

“In over 20 years of teaching quantitative methods, I have rarely come across a book such as this which meets/exceeds all the expectations of its intended audience so well”

Tuan Yu, Lecturer, Kent Business School, Canterbury, UK

“This is a fantastic book for anyone wanting to understand, learn and apply quantitative methods in finance using R” 

Professor Raphael Markellos, Professor of Finance, Norwich Business School, UK


Quantitative Methods in Finance Using R draws on the extensive teaching and research expertise of John Fry and Matt Burke, covering a wide range of quantitative methods in Finance that utilise the freely downloadable R software. With software playing an increasingly important role in finance, this book is a must-have introduction for finance students who want to explore how they can undertake their own quantitative analyses in dissertation and project work.

Assuming no prior knowledge, and taking a holistic approach, this brand new title guides you from first principles and help to build your confidence in tackling large data sets in R. 

Complete with examples and exercises with worked solutions, Fry and Burke demonstrate how to use the R freeware for regression and linear modelling, with attention given to presentation and the importance of good writing and presentation skills in project work and data analysis more generally.

Through this book, you will develop your understanding of:

Descriptive statistics

Inferential statistics

Regression

Analysis of variance

Probability regression models

Mixed models

Financial and non-financial time series


John Fry is a senior lecturer in Applied Mathematics at the University of Hull. Fry has a PhD in Mathematical Finance from the University of Sheffield. His main research interests span mathematical finance, econophysics, statistics and operations research. 

Matt Burke is a senior lecturer in Finance at Sheffield Hallam University. He holds a PhD in Finance from the University of East Anglia. Burke’s main research interests lie in asset pricing and climate finance. 

Produktdetaljer
Sprog: Engelsk
Sider: 208
ISBN-13: 9780335251261
Indbinding: Paperback
Udgave:
ISBN-10: 0335251269
Udg. Dato: 14 jul 2022
Længde: 28mm
Bredde: 153mm
Højde: 228mm
Oplagsdato: 14 jul 2022
Forfatter(e): Matthew Burke, John Fry
Forfatter(e) Matthew Burke, John Fry


Kategori Erhvervsliv, virksomheder og ledelse


Sprog Engelsk


Indbinding Paperback


Sider 208


Udgave


Længde 28mm


Bredde 153mm


Højde 228mm


Udg. Dato 14 jul 2022


Oplagsdato 14 jul 2022

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