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Financial surveillance / edited by Marianne Frisén
(Statistics in practice)

データ種別 図書
出版者 Chichester : John Wiley & Sons
出版年 c2008
大きさ 262 p. : ill. ; 24 cm

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文化情報学部
331.19||F9417 096702251


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書誌ID BB10338120
本文言語 英語
内容注記 Introduction to financial surveillance / Marianne Frisén
Statistical models in finance / Helgi Tómasson
The relation between statistical surveillance and technical analysis in finance / David Bock, Eva Andersson, Marianne Frisén
Evaluations of likelihood-based surveillance of volatility / David Bock
Surveillance of univariate and multivariate linear time series / Yarema Okhrin and Wolfgang Schmid
Surveillance of univariate and multivariate nonlinear time series / Yarema Okhrin and Wolfgang Schmid
Sequential monitoring of optimal portfolio weights / Vasyl Golosnoy, Wolfgang Schmid and Iryna Okhrin
Likelihood-based surveillance for continuous-time processes / Helgi Tómasson
Conclusions and future directions / Marianne Frisén
一般注記 Includes bibliographical references (p. [239]-256) and index
著者標目 Frisén, Marianne
件 名 LCSH:Econometric models
LCSH:Mathematical optimization
分 類 LCC:HB141
DC22:332.01/519
巻冊次 ISBN:9780470061886 RefWorks出力(各巻)
NCID BA88162827
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