Help with Business Finance
€30-250 EUR
Paid on delivery
I want to apply this model for the financial crisis 2008, housing bubble 2007 and European sovereign debt crisis and i don't know which data can be used for this model (what type of stocks and which index is the best), i also don't know which statistical tests are needed to test the efficiency of the model compared to the other 2 models also explained in the paper; can be used a simulation / regressions or GARCH to test it?
Project ID: #14736048
About the project
12 freelancers are bidding on average €171 for this job
Hi I'm Venkat. I'm an MBA graduate and I have been working as a analyst/ report writer for over 2+ years. I have a good reputation as a writer and as an analyst. Relevant Skills and Experience I'm looking forwar More
I posses expertise in all the aspects of Financial Analysis, Financial Planning, Statistical Analysis, Financial Modeling, Regression & Correlation, Microeconomics and Macroeconomics etc. Relevant Skills and Experienc More
Specialization in Finance, over the last 4 years, I have successfully completed different projects related to your dissertation / thesis subject topic. Relevant Skills and Experience Accounting and financial analysis More