2.2 Common Scenarios for Multiple Random Variables, Risk Reduction, and Calculating and Interpreting Correlation Values

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來自 University of Pennsylvania 的課程
Modeling Risk and Realities
1040 個評分
University of Pennsylvania
1040 個評分
課程 3(共 5 門,Specialization 商业与金融建模
從本節課中
Week 2: Risk and Reward: Modeling High Uncertainty Settings

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  • Sergei Savin
    Sergei Savin
    Associate Professor of Operations, Information and Decisions
    The Wharton School
  • Senthil Veeraraghavan
    Senthil Veeraraghavan
    Associate Professor of Operations, Information and Decisions
    The Wharton School

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