Learning Financial Analysis in MBA with R

L. Nayak, Amrutia Meet, Mohsin Ahmed
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Abstract

MBA students frequently learn financial analysis without being able to visualize the intricacies of financial algorithms; this changed with the availability of R, the free statistical data analysis language. In this paper we show how R can be used in selecting a portfolio based on the dynamic market. The selection of portfolio is crucial for an investor to get the desired return. The use of statistical tools for the selection of stocks in the portfolio is helpful in hedging the risk or to decide the level of risk the investor wants to be exposed to. Using the R language, an investor can visualize the performance of his/her portfolio by graphing the projected returns. It is a decision making tool in the selection and evaluation of the portfolio.
用R学习MBA中的财务分析
MBA学生经常学习财务分析,却无法想象金融算法的复杂性;随着免费的统计数据分析语言R的出现,这种情况发生了变化。在本文中,我们展示了如何使用R来选择基于动态市场的投资组合。投资组合的选择是投资者获得预期收益的关键。使用统计工具在投资组合中选择股票有助于对冲风险或决定投资者希望承担的风险水平。使用R语言,投资者可以通过绘制预计回报的图表来可视化他/她的投资组合的表现。它是选择和评估投资组合的决策工具。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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