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Financial Statistics No 520 August 2005

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This book offers a comprehensive exploration of financial statistics, focusing on the application of statistical methods to analyze financial data. It covers essential topics such as risk assessment, portfolio management, and market analysis, providing both theoretical foundations and practical examples. Readers will find insights into the use of statistical tools for forecasting and decision-making in finance, making it a valuable resource for students and professionals seeking to enhance their understanding of financial data analysis.

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ISBN
9781403995445

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Varianta knihy

2005, měkká

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