"Analysis of Financial Data" teaches the basic methods and
techniques of data analysis to finance students, by showing them
how to apply such techniques in the context of real world empirical
problems. Adopting a largely non mathematical approach, "Analysis
of Financial Data" relies more on verbal intuition and graphical
methods for understanding. This title includes key features such
as: coverage of many of the major tools used by the financial
economist e.g. correlation, regression, time series analysis and
methods for analyzing financial volatility; extensive use of real
data examples, which involves readers in hands on computer work;
and, mathematical techniques at a level suited to MBA students and
undergraduates taking a first course in the topic. Supplementary
material for readers and lecturers are provided on an accompanying
website.
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