
Essentials of Excel VBA, Python, and R
This first volume is designed for advanced courses in financial statistics, investment analysis and portfolio management. It is also a comprehensive reference for active statistical finance scholars and business analysts who are looking to upgrade their toolkits. Readers can look to the second volume for dedicated content on financial derivatives, risk management, and machine learning.
- Undertitel
- Volume I: Financial Statistics and Portfolio Analysis
- Författare
- John Lee, Cheng-Few Lee
- Upplaga
- Second Edition 2022
- ISBN
- 9783031142383
- Språk
- Engelska
- Vikt
- 310 gram
- Utgivningsdatum
- 2024-01-04
- Sidor
- 696
