000 | 00952nam a2200313Ia 4500 | ||
---|---|---|---|
008 | 210429s9999||||xx |||||||||||||| ||und|| | ||
020 | _a9788126523702 | ||
041 | _aeng | ||
082 |
_a332.63222 _bALE |
||
100 | _aAlexander, Carol | ||
245 | 0 |
_aMarket models : a guide to financial data analysis (with CD) _cby Carol Alexander |
|
260 |
_aNew Delhi: _bWiley India Pvt Ltd _c2013 |
||
300 |
_axviii, 494p., ref., ind. _c23 cm x 18 cm |
||
365 |
_aINR _b599 |
||
650 | _acointegration | ||
650 | _acovariance matrices | ||
650 | _afinancial markets | ||
650 | _aforecasting volatility | ||
650 | _aGARCH models | ||
650 | _amathematical models | ||
650 | _aneural networks | ||
650 | _aportfolio management | ||
650 | _arisk measurement | ||
650 | _astock price forecasting | ||
650 | _atimes series models | ||
650 | _avolatility correlation | ||
942 |
_2Dewey Decimal Classification _cBK |
||
999 |
_c13014 _d13014 |