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关键词:
Statistics and Finance
- An Introduction
书目信息
ISBN:
9780387202709(13位)
中图分类号:
F8
杜威分类号:
中文译名:
统计学与金融:概论
作者:
Ruppert
编者:
语种:
English
出版信息
出版社:
Springer
出版地:
出版年:
2004
版本:
版本类型:
原版
丛书题名:
Springer Texts in Statistics
卷期:
文献信息
关键词:
Statistics
前言:
摘要:
内容简介:
This textbook emphasizes the applications of statistics and probability to finance. Students are assumed to have had a prior course in statistics, but no background in finance or economics. The basics of probability and statistics are reviewed and more advanced topics in statistics, such as regression, ARMA and GARCH models, the bootstrap, and nonparametric regression using splines, are introduced as needed. The book covers the classical methods of finance such as portfolio theory, CAPM, and the Black-Scholes formula, and it introduces the somewhat newer area of behavioral finance. Applications and use of MATLAB and SAS software are stressed.
目次:
Introduction.- Probability and Statistical Models.- Returns.- Time Series Models.- Portfolio Theory.- Regression.- The Capital Asset Pricing Model.- Options Pricing.- Fixed Income Securities.- Resampling.- Value-at-Risk.- GARCH models.- Nonparametric Regression and Splines.- Behavioral Finance.
附录:
全文链接:
读者对象:
grad.
实体信息
页码:
装帧:
hard
尺寸:
其它形态细节:
其它信息
原价:
EUR
84.9500
原版ISBN:
其它ISBN:
图书特色:
书评:
扩展信息
Isbn:
0387202706
issue:
2006JC01
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