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SAS for Finance

You're reading from   SAS for Finance Forecasting and data analysis techniques with real-world examples to build powerful financial models

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Product type Paperback
Published in May 2018
Publisher Packt
ISBN-13 9781788624565
Length 306 pages
Edition 1st Edition
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Author (1):
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Harish Gulati Harish Gulati
Author Profile Icon Harish Gulati
Harish Gulati
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Table of Contents (9) Chapters Close

Preface 1. Time Series Modeling in the Financial Industry 2. Forecasting Stock Prices and Portfolio Decisions using Time Series FREE CHAPTER 3. Credit Risk Management 4. Budget and Demand Forecasting 5. Inflation Forecasting for Financial Planning 6. Managing Customer Loyalty Using Time Series Data 7. Transforming Time Series – Market Basket and Clustering 8. Other Books You May Enjoy

Summary

In this chapter, we explored aspects of portfolio forecasting, steps in the forecasting process, tips for the visualization of time series data, and model building for a business case. Both regression and ARIMA models were used, and we compared the results of the model by using a validation sample. In the next chapter, we will discuss risk modeling.

You have been reading a chapter from
SAS for Finance
Published in: May 2018
Publisher: Packt
ISBN-13: 9781788624565
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