Ph.D. degree or foreign equivalent in Mathematics, Economics or related field.br br Must have knowledge of the following 1 advanced quantitative techniques and methodologies; 2 analytical or scientific software; 3 business intelligence and data analysis software; 4 database user interface and query software; 5 cash flows valuation for bonds and stocks; 6 descriptive statistics; 7 principles of probability, distributions, and hypothesis testing; 8 econometric models; 9 economic analysis; 10 financial data modelling using statistical methods; 11 discovering and collecting novel datasets; 12 empirical methods used in finance and economics, including pooled regression, FamaMacBeth regression and Generalized Methods of Moments; and 13 existing literature on the topic of stock return predictability.

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