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Data Analysis for Risk Management – Economics, Finance and Business

Data Analysis for Risk Management – Economics, Finance and Business

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This reprint concerns methods of data analysis for risk management in economics, finance, and business. The presented papers contain research on data analysis methods, including classical statistical methods, and machine learning methods that have emerged from statistics and are being effectively applied using high-speed computers, considering the availability of big data.

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DOI: 10.3390/books978-3-7258-1415-2

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