Methods and Applications of Statistics in Business, Finance, and Management Science

الغلاف الأمامي
Narayanaswamy Balakrishnan
John Wiley & Sons, 13‏/07‏/2010 - 736 من الصفحات
Inspired by the Encyclopedia of Statistical Sciences, Second Edition, this volume presents the tools and techniques that are essential for carrying out best practices in the modern business world

The collection and analysis of quantitative data drives some of the most important conclusions that are drawn in today's business world, such as the preferences of a customer base, the quality of manufactured products, the marketing of products, and the availability of financial resources. As a result, it is essential for individuals working in this environment to have the knowledge and skills to interpret and use statistical techniques in various scenarios. Addressing this need, Methods and Applications of Statistics in Business, Finance, and Management Science serves as a single, one-of-a-kind resource that guides readers through the use of common statistical practices by presenting real-world applications from the fields of business, economics, finance, operations research, and management science.

Uniting established literature with the latest research, this volume features classic articles from the acclaimed Encyclopedia of Statistical Sciences, Second Edition along with brand-new contributions written by today's leading academics and practitioners. The result is a compilation that explores classic methodology and new topics, including:

  • Analytical methods for risk management

  • Statistical modeling for online auctions

  • Ranking and selection in mutual funds

  • Uses of Black-Scholes formula in finance

  • Data mining in prediction markets

From auditing and marketing to stock market price indices and banking, the presented literature sheds light on the use of quantitative methods in research relating to common financial applications. In addition, the book supplies insight on common uses of statistical techniques such as Bayesian methods, optimization, simulation, forecasting, mathematical modeling, financial time series, and data mining in modern research.

Providing a blend of traditional methodology and the latest research, Methods and Applications of Statistics in Business, Finance, and Management Science is an excellent reference for researchers, managers, consultants, and students in the fields of business, management science, operations research, supply chain management, mathematical finance, and economics who must understand statistical literature and carry out quantitative practices to make smart business decisions in their everyday work.

 

المحتوى

Alternatives to BlackScholes Formulation in Finance
1
22
7
References
13
An Engineering Systems
25
PERT
32
References
55
ARCH and GARCH Models
56
3
62
Multivariate TimeSeries Analysis
317
1
326
2
334
Network of Queues
338
4
344
1
351
Further Reading
357
Nonlinear Time Series
365

Bayesian Forecasting
72
8
78
1
85
4
91
BoxJenkins Model
100
Forecasting
103
Business Forecasting Methods
107
Prediction and Forecasting
108
Dynamic Programming
133
Estimation of Travel Distance
151
Financial Time Series
158
References
170
Foundations of Risk Measurement
180
Game Theory
199
Intervention Model Analysis
211
1
217
5
224
Markov Networks
230
Methods of Estimation of Risks and Analysis of Business Processes
245
Mining Functional Data in Prediction Markets
273
Models for Bid Arrivals and Bidder Arrivals in Online Auctions
293
Multiserver Queues
310
Nonstationary Time Series
375
7
376
References
406
References
432
Problem Solving in Statistics
445
Queueing Theory
455
Queues and Networks
463
Ranking and Selection Among Mutual Funds
493
Risk Theory
508
Statistical Consulting
514
Statistical Methods in Inventory Effect and Analysis
524
Statistical Methods in Risk Management by Futures Clearinghouses
541
Statistics in Banking
572
Statistics in Management Science
586
7
592
References
609
Applications in Economics and Man
626
Stochastic Games
634
References
657
The BlackScholes Formula and Its Applications in Finance
684
حقوق النشر

عبارات ومصطلحات مألوفة

نبذة عن المؤلف (2010)

N. Balakrishnan, PhD, is Professor in the Department of Mathematics and Statistics at McMaster University, Canada. Dr. Balakrishnan is coeditor of Wiley's Encyclopedia of Statistical Sciences, Second Edition and also serves as Editor in Chief of Communications in Statistics. A Fellow of the American Statistical Association and the Institute of Mathematical Statistics, Dr. Balakrishnan is the coauthor of Precedence-Type Tests and Applications and A Primer on Statistical Distributions, both published by Wiley.

معلومات المراجع