Quantitative Investment Analysis, Workbook Quantitative Investment Analysis, Workbook
CFA Institute Investment Series

Quantitative Investment Analysis, Workbook

    • $47.99
    • $47.99

Publisher Description

The thoroughly revised and updated fourth edition of the companion workbook to Quantitative Investment Analysis is here.

Now in its fourth edition, the Quantitative Investment Analysis Workbook offers a range of practical information and exercises that will facilitate your mastery of quantitative methods and their application in today's investment process. Part of the reputable CFA Institute Investment Series, the workbook is designed to further your hands-on experience with a variety of learning outcomes, summary overview sections, and challenging problems and solutions.

The workbook provides all the statistical tools and latest information to help you become a confident and knowledgeable investor, including expanded problems on Machine Learning algorithms and the role of Big Data in investment contexts. Well suited for motivated individuals who learn on their own, as well as a general reference, this companion resource delivers a clear, example-driven method for practicing the tools and techniques covered in the primary Quantitative Investment Analysis, 4th Edition text.?? Inside you'll find information and exercises to help you:
Work real-world problems associated with the modern quantitative investment process Master visualizing and summarizing data Review the fundamentals of single linear and multiple linear regression Use multifactor models Measure and manage market risk effectively
In both the workbook and the primary Quantitative Investment Analysis, 4th Edition text, the authors go to great lengths to ensure an even treatment of subject matter, consistency of mathematical notation, and continuity of topic coverage that is critical to the learning process.

For everyone who requires a streamlined route to mastering quantitative methods in investments, Quantitative Investment Analysis Workbook, 4th Edition offers world-class practice based on actual scenarios faced by professionals every day.

GENRE
Business & Personal Finance
RELEASED
2020
September 7
LANGUAGE
EN
English
LENGTH
288
Pages
PUBLISHER
Wiley
SELLER
John Wiley & Sons Canada, Ltd.
SIZE
4.3
MB
Basic Statistics for Risk Management in Banks and Financial Institutions Basic Statistics for Risk Management in Banks and Financial Institutions
2022
The Basics of Financial Econometrics The Basics of Financial Econometrics
2014
Mathematics and Statistics for Financial Risk Management Mathematics and Statistics for Financial Risk Management
2013
Statistics and Data Analysis for Financial Engineering Statistics and Data Analysis for Financial Engineering
2015
The Analytics of Risk Model Validation The Analytics of Risk Model Validation
2007
SAS Certification Prep Guide SAS Certification Prep Guide
2018
CFA® Program Changes: 2018 Members’ Guide to Practitioner-Relevant Updates CFA® Program Changes: 2018 Members’ Guide to Practitioner-Relevant Updates
2017
2017 Guide to CFA Program Curriculum Changes 2017 Guide to CFA Program Curriculum Changes
2016
CFA® Program Changes: A Member’s Primer—Five Key Curriculum Updates since 2008 CFA® Program Changes: A Member’s Primer—Five Key Curriculum Updates since 2008
2017
Portfolio Management in Practice, Volume 1 Portfolio Management in Practice, Volume 1
2020
Portfolio Management in Practice, Volume 1 Portfolio Management in Practice, Volume 1
2020
Quantitative Investment Analysis Quantitative Investment Analysis
2020
Corporate Finance Corporate Finance
2012
International Financial Statement Analysis International Financial Statement Analysis
2020
Investments Investments
2011
Economics for Investment Decision Makers Economics for Investment Decision Makers
2013
The New Wealth Management The New Wealth Management
2011
Portfolio Management in Practice, Volume 1 Portfolio Management in Practice, Volume 1
2020