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Analysis of financial data / by Gary Koop.

By: Publication details: Chichester, UK ; Hoboken, NJ : Wiley, c2006.Description: x, 240 p. : ill. ; 25 cmISBN:
  • 0470013214 (pbk. : alk. paper) :
Subject(s): LOC classification:
  • HG106 .K67 2006
Contents:
Ch. 1. Introduction -- Ch. 2. Basic data handling -- Ch. 3. Correlation -- Ch. 4. An introduction to simple regression -- Ch. 5. Statistical aspects of regression -- Ch. 6. Multiple regression -- Ch. 7. Regression with dummy variables -- Ch. 8. Regression with lagged explanatory variables -- Ch. 9. Univariate time series analysis -- Ch. 10. Regression with time series variables -- Ch. 11. Regression with time series variables with several equations -- Ch. 12. Financial volatility -- App. A. Writing an empirical project -- App. B. Data directory.
Holdings
Item type Current library Home library Shelving location Call number Status Date due Barcode
Books Books American University in Dubai American University in Dubai Main Collection HG 106 .K67 2006 (Browse shelf(Opens below)) Available 50677

Includes bibliographical references and index.

Ch. 1. Introduction -- Ch. 2. Basic data handling -- Ch. 3. Correlation -- Ch. 4. An introduction to simple regression -- Ch. 5. Statistical aspects of regression -- Ch. 6. Multiple regression -- Ch. 7. Regression with dummy variables -- Ch. 8. Regression with lagged explanatory variables -- Ch. 9. Univariate time series analysis -- Ch. 10. Regression with time series variables -- Ch. 11. Regression with time series variables with several equations -- Ch. 12. Financial volatility -- App. A. Writing an empirical project -- App. B. Data directory.

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