Model of Economic Statistics Analysis: as a Basis for Investment Strategy
52. RTU Starptautiskā zinātniskā konference: RTU IEVF Ekonomikas un uzņēmējdarbības zinātniskā konference (SCEE' 2011): konferences ziņojumu tēžu krājums
2011
Lauris Freināts,
Irina Voronova
The object of the study is a publicly available economic statistics. The goal of publication is to develop an economic statistical analysis model that helps the investor in the stock market, to better define the future direction of the stock market. For better data analysis authors choose to analyze US economic statistics, there are conduct extensive data of the U.S. economic statistics. The model is fully adapted to stock market participants, enabling them to be independent in practice.
Keywords
statistics, securities, analysis, model, correlation
Freināts, L., Voronova, I. Model of Economic Statistics Analysis: as a Basis for Investment Strategy. In: 52. RTU Starptautiskā zinātniskā konference: RTU IEVF Ekonomikas un uzņēmējdarbības zinātniskā konference (SCEE' 2011): konferences ziņojumu tēžu krājums, Latvia, Rīga, 7-7 October, 2011. Rīga: RTU Izdevniecība, 2011, pp.38-39. ISBN 978-9934-10-202-8.
Publication language
Latvian (lv)