首頁 > Learning Quantitative Finance with R
Questions
- Construct examples of normal, Poisson, and uniform distribution in R.
- How do you do random and stratified sampling in R?
- What are the different measures of central tendency and how do you find them in R?
- How do you compute kurtosis and skewness in R?
- How do you do hypothesis testing in R with known/unknown variance of population in R?
- How do you detect outliers in R?
- How do you do parameter estimates for a linear model and MLE in R?
- What is standardization and normalization in R and how do you perform it in R?
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