Description
Edward W. Frees – Regression Modeling With Actuarial And Financial Applications
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This book teaches multiple regression and time series and how to use these to analyze real data in risk management and finance.
Statistical techniques can be used to address new situations.
This is important in a rapidly evolving risk management and financial world.
Analysts with a strong statistical background understand that a large data set can represent a treasure trove of information to be mined and can yield a strong competitive advantage.
This book provides budding actuaries and financial analysts with a foundation in multiple regression and time series.
Readers will learn about these statistical techniques using data on the demand for insurance, lottery sales, foreign exchange rates, and other applications.
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