This work presents detailed descriptions of models designed to forecast financial markets for investment purposes, and also examines how to incorporate a market-timing approach into an investment strategy. Topics include: use of regression analysis to analyze forecast reliability; modelling the stock and bond markets, and large and small cap stocks; turning market forecasts into investment strategies; and alternative approaches to market forecasting.
Sprache
Verlagsort
Verlagsgruppe
McGraw-Hill Education - Europe
Zielgruppe
Illustrationen
Maße
Höhe: 231 mm
Breite: 160 mm
Dicke: 33 mm
Gewicht
ISBN-13
978-0-7863-1099-9 (9780786310999)
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Schweitzer Klassifikation