USING R FOR ANALYZING FINANCIAL MARKETS

Journal Title: Challenges of the Knowledge Society - Year 2016, Vol 6, Issue 0

Abstract

Financial markets are hard to analyse and almost impossible to predict. The progress in computer technology means also the improvement of the available tools for the analysts to observe the evolution of financial markets. The R software, besides different statistical analysis, offers also the tools to process and analyse the data from these markets, in a free and accessible manner.

Authors and Affiliations

Nicolae-Marius JULA, Nicoleta JULA

Keywords

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  • EP ID EP96200
  • DOI -
  • Views 138
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How To Cite

Nicolae-Marius JULA, Nicoleta JULA (2016). USING R FOR ANALYZING FINANCIAL MARKETS. Challenges of the Knowledge Society, 6(0), 990-996. https://europub.co.uk/articles/-A-96200