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    14 excel matlab financial analysis tugasan ditemui, harga dalam USD

    ...with Risk Measurement across multiple asset classes including interest rates, credit, foreign exchange, equity, funds and commodities in different aspects of them, from a financial, methodological, programming and quantitative perspective. The team also drives technological and digital transformation in the area following corporate strategy. The successful

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    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    $308 (Avg Bid)
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    11 bida

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

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    18 bida

    ...Econometric/Statistical Analysis. The study in Sheffield was funded from the Scholarship I received for Higher Studies from UK. I have been teaching courses in Economics, Statistics and Econometrics both on campus and online on my personally maintained e-learning portal. There are more than 30 courses in Econometrics, Statistics, Business Analysis and Global

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    2 bida

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    $408 (Avg Bid)
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    9 bida
    Financial Math Tamat left

    Plz find attached this file. It is an essay for Financial Mathematics Is in an essay for Financial Mathematics, sets out with a study of different scenarios for the development of interest rates since the mortgage market and financial markets are generally driven by interest rates. The aim of this essay is to compare the schedule for mortgages

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    10 bida
    Financial Math Tamat left

    Plz find attached this file. It is an essay for Financial Mathematics Is in an essay for Financial Mathematics, sets out with a study of different scenarios for the development of interest rates since the mortgage market and financial markets are generally driven by interest rates. The aim of this essay is to compare the schedule for mortgages

    $247 (Avg Bid)
    $247 Avg Bida
    4 bida

    ...data sheets in illustration. The results must be performance comparison, in figures or graphs, not general statements. 3) Explain the role of risk analysis in portfolio protection and how such analysis should be implemented in practice. 4) Study the coherence definition for risk functions, use concrete example to illustrate why coherence and incoherence

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    1 bida

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    $287 (Avg Bid)
    $287 Avg Bida
    7 bida

    EXCEL/VBA or MATLAB Corporate and Financial Risk Analysis 1) Study the definition of hedge funds, study the investment strategies of hedge funds defined in IAM Strategy Definitions file. 2) Study the quantitative aspects of hedging, using options and/or complimentary assets (eg. Oil and airline) to see if such strategies make sense. Must use asset

    $272 (Avg Bid)
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    8 bida

    This is Corporate and Financial Risk Analysis project. The freelancer is supposed to write a 4200 to 4500 words essay to answer 7 questions by the client. deadline is 26th 8pm Uk Standard time. The details are in the order form (submited later) , all the requirements are given in details by the client ,which we should follow exactly. Especially for

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    7 bida

    ...program. Please, complete the following three tasks. Use the [log masuk untuk melihat URL] program Version 2.9.7.4 2006-08-16, <[log masuk untuk melihat URL]>. 1.? ? ? ? ? Load the data file [[log masuk untuk melihat URL]][2] into the program and answer the questions. - Scroll the time scale to case 2.0. Right-click the orange Public-loans flow label. The Flow properties dialog is

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    2 bida

    ...program. Please, complete the following three tasks. Use the [log masuk untuk melihat URL] program Version 2.9.7.4 2006-08-16, <[log masuk untuk melihat URL]>. 1.? ? ? ? ? Load the data file [[log masuk untuk melihat URL]][2] into the program and answer the questions. - Scroll the time scale to case 2.0. Right-click the orange Public-loans flow label. The Flow properties dialog is

    $30 - $1000
    $30 - $1000
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    I would like to get financial forecast based on historical data using MC Simulation,regression and Time series analysis. I'll provide the winner with the historical data. ## Deliverables 1) Complete and fully-functional working program(s) in executable form as well as complete source code of all work done. 2) Deliverables must be in ready-to-run

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    9 bida