Big Data in Economics and Management - Statistics and Big Data - Zheng Zhang - Books - Springer Verlag, Singapore - 9789819531240 - March 29, 2026
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Big Data in Economics and Management - Statistics and Big Data


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The third one is that financial institutions typically hold tens of thousands of assets, making portfolio risk assessment very computationally intensive. This book discusses three advanced topics in modern economics and management: causal inference, financial model computing and decisions, and financial risk management.

Media Books     Hardcover Book   (Book with hard spine and cover)
Released March 29, 2026
ISBN13 9789819531240
Publishers Springer Verlag, Singapore
Pages 218
Dimensions 150 × 220 × 20 mm   ·   551 g

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