Statistical Indicators Used in the Analysis of Portfolios of Financial Instruments

Journal Title: Revista Romana de Statistica - Year 2012, Vol 60, Issue 4

Abstract

The analysis of economic phenomena, including those pertaining to the specific activity of the stock market, can be started by using a set of specific indicators, by which can be determined the overall trend of the data subject to present research. In this sense, in the literature of our country and from abroad, there have been defined indicators that define both the variation of the terms of the series, as well as the values of the average that characterize it.

Authors and Affiliations

Mădălina - Gabriela ANGHEL

Keywords

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  • EP ID EP151102
  • DOI -
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How To Cite

Mădălina - Gabriela ANGHEL (2012). Statistical Indicators Used in the Analysis of Portfolios of Financial Instruments. Revista Romana de Statistica, 60(4), 117-120. https://europub.co.uk./articles/-A-151102