Description

Book Synopsis


Table of Contents

Part 1 Learning Objectives, Summary Overview, and Problems 1

Chapter 1 The Time Value of Money 3

Learning Outcomes 3

Summary 3

Practice Problems 4

Chapter 2 Organizing, Visualizing, and Describing Data 9

Learning Outcomes 9

Summary 9

Practice Problems 13

Chapter 3 Probability Concepts 25

Learning Outcomes 25

Summary 26

Practice Problem 28

Chapter 4 Common Probability Distributions 33

Learning Outcomes 33

Summary 34

Practice Problems 35

Chapter 5 Sampling and Estimation 43

Learning Outcomes 43

Summary 43

Practice Problems 45

Chapter 6 Hypothesis Testing 51

Learning Outcomes 51

Summary 52

Practice Problems 54

Chapter 7 Introduction to Linear Regression 63

Learning Outcomes 63

Summary 63

Practice Problems 64

Chapter 8 Multiple Regression 75

Learning Outcomes 75

Summary 76

Practice Problems 78

Chapter 9 Time-Series Analysis 103

Learning Outcomes 103

Summary 104

Practice Problems 105

Chapter 10 Machine Learning 123

Learning Outcomes 123

Summary 123

Practice Problems 125

Chapter 11 Big Data Projects 129

Learning Outcomes 129

Summary 129

Practice Problems 131

Chapter 12 Using Multifactor Models 141

Learning Outcomes 141

Summary 141

Practice Problems 143

Chapter 13 Measuring and Managing Market Risk 149

Learning Outcomes 149

Summary 149

Practice Problems 152

Chapter 14 Backtesting and Simulation 161

Learning Outcomes 161

Summary 161

Practice Problems 163

Part II Solutions 169

Chapter 1 The Time Value of Money 171

Solutions 171

Chapter 2 Organizing, Visualizing, and Describing Data 185

Solutions 185

Chapter 3 Probability Concepts 195

Solutions 195

Chapter 4 Common Probability Distributions 199

Solutions 199

Chapter 5 Sampling and Estimation 207

Solutions 207

Chapter 6 Hypothesis Testing 215

Solutions 215

Chapter 7 Introduction to Linear Regression 223

Solutions 223

Chapter 8 Multiple Regression 229

Solutions 229

Chapter 9 Time-Series Analysis 241

Solutions 241

Chapter 10 Machine Learning 249

Solutions 249

Chapter 11 Big Data Projects 251

Solutions 251

Chapter 12 Using Multifactor Models 261

Solutions 261

Chapter 13 Measuring and Managing Market Risk 267

Solutions 267

Chapter 14 Backtesting and Simulation 273

Solutions 273

About the CFA Program 279

Quantitative Investment Analysis Workbook

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      Publisher: John Wiley & Sons Inc
      Publication Date: Publication Date: 26/10/2020
      ISBN13: 9781119743675, 978-1119743675
      ISBN10: 1119743672

      Description

      Book Synopsis


      Table of Contents

      Part 1 Learning Objectives, Summary Overview, and Problems 1

      Chapter 1 The Time Value of Money 3

      Learning Outcomes 3

      Summary 3

      Practice Problems 4

      Chapter 2 Organizing, Visualizing, and Describing Data 9

      Learning Outcomes 9

      Summary 9

      Practice Problems 13

      Chapter 3 Probability Concepts 25

      Learning Outcomes 25

      Summary 26

      Practice Problem 28

      Chapter 4 Common Probability Distributions 33

      Learning Outcomes 33

      Summary 34

      Practice Problems 35

      Chapter 5 Sampling and Estimation 43

      Learning Outcomes 43

      Summary 43

      Practice Problems 45

      Chapter 6 Hypothesis Testing 51

      Learning Outcomes 51

      Summary 52

      Practice Problems 54

      Chapter 7 Introduction to Linear Regression 63

      Learning Outcomes 63

      Summary 63

      Practice Problems 64

      Chapter 8 Multiple Regression 75

      Learning Outcomes 75

      Summary 76

      Practice Problems 78

      Chapter 9 Time-Series Analysis 103

      Learning Outcomes 103

      Summary 104

      Practice Problems 105

      Chapter 10 Machine Learning 123

      Learning Outcomes 123

      Summary 123

      Practice Problems 125

      Chapter 11 Big Data Projects 129

      Learning Outcomes 129

      Summary 129

      Practice Problems 131

      Chapter 12 Using Multifactor Models 141

      Learning Outcomes 141

      Summary 141

      Practice Problems 143

      Chapter 13 Measuring and Managing Market Risk 149

      Learning Outcomes 149

      Summary 149

      Practice Problems 152

      Chapter 14 Backtesting and Simulation 161

      Learning Outcomes 161

      Summary 161

      Practice Problems 163

      Part II Solutions 169

      Chapter 1 The Time Value of Money 171

      Solutions 171

      Chapter 2 Organizing, Visualizing, and Describing Data 185

      Solutions 185

      Chapter 3 Probability Concepts 195

      Solutions 195

      Chapter 4 Common Probability Distributions 199

      Solutions 199

      Chapter 5 Sampling and Estimation 207

      Solutions 207

      Chapter 6 Hypothesis Testing 215

      Solutions 215

      Chapter 7 Introduction to Linear Regression 223

      Solutions 223

      Chapter 8 Multiple Regression 229

      Solutions 229

      Chapter 9 Time-Series Analysis 241

      Solutions 241

      Chapter 10 Machine Learning 249

      Solutions 249

      Chapter 11 Big Data Projects 251

      Solutions 251

      Chapter 12 Using Multifactor Models 261

      Solutions 261

      Chapter 13 Measuring and Managing Market Risk 267

      Solutions 267

      Chapter 14 Backtesting and Simulation 273

      Solutions 273

      About the CFA Program 279

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