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  • 定量投資分析,練習冊 QUANTITATIVE INVESTMENT ANALYSIS
    該商品所屬分類:投資理財 -> 投資理財
    【市場價】
    3985-5776
    【優惠價】
    2491-3610
    【作者】 Richard 
    【所屬類別】 圖書  投資理財  投資指南 
    【出版社】John 
    【ISBN】9780470069189
    【折扣說明】一次購物滿999元台幣免運費+贈品
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    【本期贈品】①優質無紡布環保袋,做工棒!②品牌簽字筆 ③品牌手帕紙巾
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    內容介紹



    紙張:膠版紙
    包裝:平裝
    是否套裝:否

    國際標準書號ISBN:9780470069189
    作者:Richard
    出版社:John

    出版時間:2007年12月 

        
        
    "

    編輯推薦
    作者簡介:
    RICHARD A. DeFUSCO, CFA, is an Associate Professor of Finance at the University of Nebraska-Lincoln. DeFusco completed his bachelor's degree in management science at the University of Rhode Island and doctoral degree in finance at the University of Tennessee-Knoxville. He earned his CFA charter in 1999. 
    內容簡介
    In the Second Edition of Quantitative Investment Analysis, financial experts Richard DeFusco, Dennis McLeavey, Jerald Pinto, and David Runkle outline the tools and techniques needed to understand and apply quantitative methods to today's investment process.
    Now, in Quantitative Investment Analysis Workbook, Second Edition, they offer you a wealth of practical information and exercises that will further enhance your understanding of this discipline. This essential study guide--which parallels the main book chapter by chapter--contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews.
    If you're looking to successfully navigate today's dynamic investment environment, the lessons found within these pages can show you how. Topics reviewed include:
    The time value of money
    Discounted cash flowIn the Second Edition of Quantitative Investment Analysis, financial experts Richard DeFusco, Dennis McLeavey, Jerald Pinto, and David Runkle outline the tools and techniques needed to understand and apply quantitative methods to today's investment process.
    Now, in Quantitative Investment Analysis Workbook, Second Edition, they offer you a wealth of practical information and exercises that will further enhance your understanding of this discipline. This essential study guide--which parallels the main book chapter by chapter--contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews.
    If you're looking to successfully navigate today's dynamic investment environment, the lessons found within these pages can show you how. Topics reviewed include:
    The time value of money
    Discounted cash flow
    Probability distributions
    Sampling and estimation
    Hypothesis testing
    Multiple regression
    Time-series analysis
    And much more
    目錄
    PART 1: Learning Outcomes, Summary Overview, and Problems
    Chapter 1.The Time Value of Money
    Chapter 2.Discounted Cash Flow Applications
    Chapter 3.Statistical Concepts and Market Returns
    Chapter 4.Probability Concepts
    Chapter 5.Common Probability Distributions
    Chapter 6.Sampling and Estimation
    Chapter 7.Hypothesis Testing
    Chapter 8.Correlation and Regression
    Chapter 9.Multiple Regression and Issues in Regression Analysis
    Chapter 10.Time-Series Analysis
    Chapter 11.Portfolio Concepts
    PART 2: Solutions
    Chapter 1.The Time Value of MoneyPART 1: Learning Outcomes, Summary Overview, and Problems
    Chapter 1.The Time Value of Money
    Chapter 2.Discounted Cash Flow Applications
    Chapter 3.Statistical Concepts and Market Returns
    Chapter 4.Probability Concepts
    Chapter 5.Common Probability Distributions
    Chapter 6.Sampling and Estimation
    Chapter 7.Hypothesis Testing
    Chapter 8.Correlation and Regression
    Chapter 9.Multiple Regression and Issues in Regression Analysis
    Chapter 10.Time-Series Analysis
    Chapter 11.Portfolio Concepts
    PART 2: Solutions
    Chapter 1.The Time Value of Money
    Chapter 2.Discounted Cash Flow Applications
    Chapter 3.Statistical Concepts and Market Returns
    Chapter 4.Probability Concepts
    Chapter 5.Common Probability Distributions
    Chapter 6.Sampling and Estimation
    Chapter 7.Hypothesis Testing
    Chapter 8.Correlation and Regression
    Chapter 9.Multiple Regression and Issues in Regression Analysis
    Chapter 10.Time-Series Analysis
    Chapter 11.Portfolio Concepts
    About the CFA Program


     
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