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Advanced Analytics in Financial Markets.

Advanced Analytics in Financial Markets. 金融市場における高度な分析

・ISBN 978-1-041-00168-3 hard GB£ 155.00

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・ISBN 978-1-041-00167-6 paper GB£ 45.99

¥15,203.- (税込) (※)価格はご注文時の参考価格となります。
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電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 9781003608486
著者・編者Bhattacharya, Rajeev R.,
シリーズRoutledge Advanced Texts in Economics and Finance
出版社(Routledge, UK)
出版年月2026.10
ページ数276 pp.
言語ENG
ニュース番号<773-305>

解説

Big Data analytics have emerged as a powerful tool, transforming the global financial market by enabling more informed decision-making, enhancing predictive capabilities and improving risk management. By leveraging vast amounts of data, advanced analytics can provide real-time insights into market trends, forecast potential downturns and identify investment opportunities. This innovative book is one of the first advanced textbooks to address the rapidly evolving field of Big Data in finance.

Drawing on the author's extensive research, consulting and teaching experience, it applies advanced theoretical and empirical methods to massive high-frequency databases to explore important areas of finance, including market efficiency, equities, fixed income securities, options and market microstructure. The book begins with an introduction to risk and uncertainty before exploring applications of advanced analytics to daily data, as well as applications to big data with intraday data. It concludes with suggestions for future work. Raw databases, SAS software code and intermediate and output data files are made available to enable readers to work with real data and perform their own analyses.

Advanced Analytics in Financial Markets is the ideal textbook for advanced undergraduate and graduate courses in finance, big data and advanced analytics, as well as a reference book for scholars and practitioners.