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Emerald Points Série de Livres électroniques

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  • Developing an Effective Model for Detecting Trade-Based Market Manipulation

    Collections series Emerald Points
    Stock market manipulation is detrimental to traders and corporations, causes unnecessary price fluctuations, and only benefits financial criminals. The research presented here determines an appropriate model to help identify stocks witnessing activities that are indicative of potential manipulation through three separate but related studies.In Developing an Effective Model for Detecting Trade ... En savoir plus

    $69.99 CAD

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  • A Handbook of Analytics

    A Guide to Statistics and Analytics

    par Ankita Sinha ...
    A Handbook of Analytics is a guide to statistics and analytics. Data analytics are used to predict future patterns of data using mathematical and statistical models. Therefore, it is imperative for the professionals working in the field of data analytics to not only be able to use multiple functionalities on various tools but to have in-depth knowledge of statistics, predictive analytics and ... En savoir plus

    $1.83 CAD

  • The Art of Statistical Thinking

    Not knowing statistics can lead to a loss of money, time, and accurate information.What am I looking at? What do these numbers mean? Why? These are frequent thoughts of those who don't know much about statistics."I'm not a number's person" is not a good excuse to avoid learning the basics of this essential skill. Are you a person who earns money? Do you shop at the supermarket? Do you vote? Do you ... En savoir plus

    $6.99 CAD ou Gratuit avec Kobo Plus

  • Regression Modeling with Actuarial and Financial Applications

    par Edward W. Frees ...
    Collections series International Series on Actuarial Science
    This text gives budding actuaries and financial analysts a foundation in multiple regression and time series. They will learn about these statistical techniques using data on the demand for insurance, lottery sales, foreign exchange rates, and other applications. Although no specific knowledge of risk management or finance is presumed, the approach introduces applications in which statistical ... En savoir plus

    $81.99 CAD

  • Quantitative Portfolio Management

    The Art and Science of Statistical Arbitrage

    Discover foundational and advanced techniques in quantitative equity trading from a veteran insiderIn Quantitative Portfolio Management: The Art and Science of Statistical Arbitrage, distinguished physicist-turned-quant Dr. Michael Isichenko delivers a systematic review of the quantitative trading of equities, or statistical arbitrage. The book teaches you how to source financial data, learn ... En savoir plus

    $44.99 CAD

  • Financial Markets and Trading

    An Introduction to Market Microstructure and Trading Strategies

    Collections Livre 637 - Wiley Finance
    An informative guide to market microstructure and trading strategiesOver the last decade, the financial landscape has undergone a significant transformation, shaped by the forces of technology, globalization, and market innovations to name a few. In order to operate effectively in today's markets, you need more than just the motivation to succeed, you need a firm understanding of how modern ... En savoir plus

    $74.99 CAD

  • The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital Markets

    Addresses newly exposed weaknesses of financial risk models in the context of market stress scenariosThis will be the definitive book for readers looking to improve their approach to modeling financial risk ... En savoir plus

    $93.99 CAD

  • The Econometrics of Individual Risk

    Credit, Insurance, and Marketing

    The individual risks faced by banks, insurers, and marketers are less well understood than aggregate risks such as market-price changes. But the risks incurred or carried by individual people, companies, insurance policies, or credit agreements can be just as devastating as macroevents such as share-price fluctuations. A comprehensive introduction, The Econometrics of Individual Risk is the first ... En savoir plus

    $63.79 CAD

  • Artificial Intelligence in Financial Markets

    Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics

    Collections series Economics and Finance (R0)
    As technology advancement has increased, so to have computational applications for forecasting, modelling and trading financial markets and information, and practitioners are finding ever more complex solutions to financial challenges. Neural networking is a highly effective, trainable algorithmic approach which emulates certain aspects of human brain functions, and is used extensively in ... En savoir plus

    $115.29 CAD

  • Rating Based Modeling of Credit Risk

    Theory and Application of Migration Matrices

    Collections series Academic Press Advanced Finance
    In the last decade rating-based models have become very popular in credit risk management. These systems use the rating of a company as the decisive variable to evaluate the default risk of a bond or loan. The popularity is due to the straightforwardness of the approach, and to the upcoming new capital accord (Basel II), which allows banks to base their capital requirements on internal as well as ... En savoir plus

    $79.99 CAD

  • Predictive Modeling Applications in Actuarial Science: Volume 2, Case Studies in Insurance

    Collections series International Series on Actuarial Science
    Predictive modeling uses data to forecast future events. It exploits relationships between explanatory variables and the predicted variables from past occurrences to predict future outcomes. Forecasting financial events is a core skill that actuaries routinely apply in insurance and other risk-management applications. Predictive Modeling Applications in Actuarial Science emphasizes life-long ... En savoir plus

    $114.99 CAD

  • Advanced Trading Rules

    Modifié par Emmanual Acar, Stephen Satchell ...
    Collections series Quantitative Finance
    Advanced Trading Rules is the essential guide to state of the art techniques currently used by the very best financial traders, analysts and fund managers. The editors have brought together the world's leading professional and academic experts to explain how to understand, develop and apply cutting edge trading rules and systems. It is indispensable reading if you are involved in the derivatives, ... En savoir plus

    $159.99 CAD