Ebook Mathematics and statistics for financial risk management (Second Edition): Part 2
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Ebook Mathematics and statistics for financial risk management (Second Edition): Part 2 presents the following content: Chapter 7 hypothesis testing and confidence intervals, chapter 8 matrix algebra, chapter 9 vector spaces, chapter 10 linear regression analysis, chapter 11 time series models, chapter 12 decay factors.
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Ebook Mathematics and statistics for financial risk management (Second Edition): Part 2
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Ebook Mathematics and statistics for financial risk management (Second Edition): Part 2
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