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Introduction to R for Quantitative Finance

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R is a statistical computing language that's ideal for answering quantitative finance questions. This book gives you both theory and practice, all in clear language with stacks of real-world examples. Ideal for R beginners or expert alike. Overview Use time series analysis to model and forecast house prices Estimate the term structure of interest rates using prices of government bonds Detect systemically important financial institutions by employing financial network analysis In Detail Introduction to R for Quantitative Finance will show you how to solve real-world quantitative finance problems using the statistical computing language R. The book covers diverse topics ranging from time series analysis to financial networks. Each chapter briefly pr...


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