quantitative-analysis

SKILLWorkflowcommunity
v0.0.0nimadorostkarMITUpdated 21d agoSource →

Use when applying statistical methods to financial data. Covers return distributions, stationarity, correlation versus causation, the multiple-testing problem, and the statistical traps specific to financial time series.

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21d agoLast update
Skill
Authornimadorostkar
Version0.0.0
LicenseMIT
CategoryWorkflow
Formatsskill.md
PromptNot published
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Use when applying statistical methods to financial data. Covers return distributions, stationarity, correlation versus causation, the multiple-testing problem, and the statistical traps specific to financial time series.

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