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  • 1
    Book
    Book
    Hoboken, NJ : Wiley
    UID:
    b3kat_BV036629834
    Format: XVIII, 654 S. , graph. Darst.
    ISBN: 9780470400937
    Series Statement: The Frank J. Fabozzi series
    Content: "A comprehensive look at how probability and statistics is applied to the investment process Finance has become increasingly more quantitative, drawing on techniques in probability and statistics that many finance practitioners have not had exposure to before. In order to keep up, you need a firm understanding of this discipline. Probability and Statistics for Finance addresses this issue by showing you how to apply quantitative methods to portfolios, and in all matter of your practices, in a clear, concise manner. Informative and accessible, this guide starts off with the basics and builds to an intermediate level of mastery. Outlines an array of topics in probability and statistics and how to apply them in the world of finance. Includes detailed discussions of descriptive statistics, basic probability theory, inductive statistics, and multivariate analysis. Offers real-world illustrations of the issues addressed throughout the text. The authors cover a wide range of topics in this book, which can be used by all finance professionals as well as students aspiring to enter the field of finance"--
    Note: Includes index
    Additional Edition: Erscheint auch als Online-Ausgabe ISBN 978-0-470-90630-9
    Additional Edition: Erscheint auch als Online-Ausgabe ISBN 978-0-470-90631-6
    Additional Edition: Erscheint auch als Online-Ausgabe ISBN 978-0-470-90632-3
    Language: English
    Subjects: Economics , Mathematics
    RVK:
    RVK:
    Keywords: Finanzwissenschaft ; Stochastisches Modell ; Wahrscheinlichkeitsrechnung
    Author information: Račev, Svetlozar T. 1951-
    Library Location Call Number Volume/Issue/Year Availability
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  • 2
    Online Resource
    Online Resource
    Hoboken, N.J. :John Wiley & Sons,
    UID:
    almahu_9948197606502882
    Format: 1 online resource (xviii, 654 pages) : , illustrations
    ISBN: 9780470906309 , 0470906308 , 9780470906316 , 0470906316 , 9780470906323 , 0470906324 , 9781118267912 , 1118267915
    Series Statement: The Frank J. Fabozzi series
    Content: "Finance has become increasingly more quantitative, drawing on techniques in probability and statistics that many finance practitioners have not had exposure to before. In order to keep up, you need a firm understanding of this discipline. Probability and Statistics for Finance addresses this issue by showing you how to apply quantitative methods to portfolios, and in all matter of your practices, in a clear, concise manner. Informative and accessible, this guide starts off with the basics and builds to an intermediate level of mastery"--Resource description page.
    Note: Probability and Statistics for Finance; Contents; Preface; About the Authors; Chapter 1: Introduction; Part One: Descriptive Statistics; Part Two: Basic Probability Theory; Part Three: Inductive Statistics; Part Four: Multivariate Linear Regression Analysis; Appendix A: Important Functions and Their Features; Appendix B: Fundamentals of Matrix Operations and Concepts; Appendix C: Binomial and Multinomial Coefficients; Appendix D: Application of the Log-Normal Distribution to the Pricing of Call Options; References; Index.
    Additional Edition: Print version: ISBN 9786612773556
    Language: English
    Keywords: Electronic books.
    Library Location Call Number Volume/Issue/Year Availability
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  • 3
    Online Resource
    Online Resource
    Hoboken, N.J. :John Wiley & Sons,
    UID:
    almafu_9959328847202883
    Format: 1 online resource (xviii, 654 pages) : , illustrations
    ISBN: 9780470906309 , 0470906308 , 9780470906316 , 0470906316 , 9780470906323 , 0470906324 , 9781118267912 , 1118267915
    Series Statement: The Frank J. Fabozzi series
    Content: "Finance has become increasingly more quantitative, drawing on techniques in probability and statistics that many finance practitioners have not had exposure to before. In order to keep up, you need a firm understanding of this discipline. Probability and Statistics for Finance addresses this issue by showing you how to apply quantitative methods to portfolios, and in all matter of your practices, in a clear, concise manner. Informative and accessible, this guide starts off with the basics and builds to an intermediate level of mastery"--Resource description page.
    Note: Probability and Statistics for Finance; Contents; Preface; About the Authors; Chapter 1: Introduction; Part One: Descriptive Statistics; Part Two: Basic Probability Theory; Part Three: Inductive Statistics; Part Four: Multivariate Linear Regression Analysis; Appendix A: Important Functions and Their Features; Appendix B: Fundamentals of Matrix Operations and Concepts; Appendix C: Binomial and Multinomial Coefficients; Appendix D: Application of the Log-Normal Distribution to the Pricing of Call Options; References; Index.
    Additional Edition: Print version: ISBN 9786612773556
    Language: English
    Keywords: Electronic books. ; Electronic books.
    Library Location Call Number Volume/Issue/Year Availability
    BibTip Others were also interested in ...
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