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Probability And Statistics For Finance
In this book, we provide an array of topics€in probability and statistics that are applied to problems in finance. For example, there are applications to portfolio management, asset pricing, risk management, and credit risk modeling. Not only do we cover the basics found in a typical introductory book in probability and statistics, but we also provide unique coverage of several topics that are of special interest to finance students and finance professionals. Examples are coverage of probability distributions that deal with extreme events and statistical measures, which are particularly useful for portfolio managers and risk managers concerned with extreme events.
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