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Analytics in Finance and Risk Management

Publisher
Taylor & Francis Ltd
This book presents contemporary issues and challenges in finance and risk management in a time of rapid transformation due to technological advancements. It includes research articles based on financial and economic data and intends to cover the emerging role of analytics in financial management, asset management, and risk management. Analytics in Finance and Risk Management covers statistical techniques for data analysis in finance. It explores applications in finance and risk management, covering empirical properties of financial systems. It addresses data science involving the study of statistical and computational models and includes basic and advanced concepts. The chapters incorporate the latest methodologies and challenges facing financial and risk management and illustrate related issues and their implications in the real world. The primary users of this book will include researchers, academicians, postgraduate students, professionals in engineering and business analytics, managers, consultants, and advisors in IT firms, financial markets, and services domains.

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    Specification

    SKU
    9780367416867
    Published At
    26.12.2023
    Pages
    378
    EAN
    9780367416867
    Format
    Created At (custom)
    14.09.2023
    ISBN
    9780367416867

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