Business & Economics Books:

Big Data In Finance: Theory And Empirics

Click to share your rating 0 ratings (0.0/5.0 average) Thanks for your vote!

Format:

Hardback
$369.00
Releases

Pre-order to reserve stock from our first shipment. Your credit card will not be charged until your order is ready to ship.

Available for pre-order now
Free Delivery with Primate
Join Now

Free 14 day free trial, cancel anytime.

Buy Now, Pay Later with:

4 payments of $92.25 with Afterpay Learn more

6 weekly interest-free payments of $61.50 with Laybuy Learn more

Pre-order Price Guarantee

If you pre-order an item and the price drops before the release date, you'll pay the lowest price. This happens automatically when you pre-order and pay by credit card or pickup.

If paying by PayPal, Afterpay, Laybuy, Zip, Klarna, POLi, Online EFTPOS or internet banking, and the price drops after you have paid, you can ask for the difference to be refunded.

If Mighty Ape's price changes before release, you'll pay the lowest price.

Availability

This product will be released on

Delivering to:

It should arrive:

  • 4-11 July using International Courier

Description

Big Data in Finance: Theory and Empirics represents the culmination of almost two decades of the author's consulting, research, and teaching in Big Data, particularly in the context of finance. Examining uncertainty and risk within Big Data in finance, the book can also be used in applied and advanced analytics. With reader-accessible code, Uncertainty and Risk, Theory and Empirics is of immense value to any graduate or undergraduate course on Big Data in finance.
Release date NZ
June 27th, 2024
Audiences
  • Professional & Vocational
  • Tertiary Education (US: College)
Pages
400
ISBN-13
9781800615236
Product ID
38221595

Customer previews

Nobody has previewed this product yet. You could be the first!

Write a Preview

Help & options

Filed under...