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Coefficient of variation
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Related lectures (32)
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Analysis of Variance (ANOVA)
Covers Analysis of Variance (ANOVA) for assessing categorical variable effects on quantitative outcomes.
Portfolio Optimization: Risk and Return
Explores the tradeoff between risk and return in portfolios, the benefits of diversification, and the impact of correlation on portfolio risk.
Introduction to Finance: Risk and Return in Portfolios
Covers risk and return tradeoffs in portfolios, diversification benefits, and the efficient frontier with multiple assets.
Rietveld quantitative phase analysis
Explores Rietveld quantitative phase analysis, covering phase fractions, standard calibration, and parameter refinement guidelines.
Elements of Statistics: Probability and Random Variables
Introduces key concepts in probability and random variables, covering statistics, distributions, and covariance.
Significant Figures, Error Estimation, Notation
Covers significant figures, notation for derivatives, and error estimation methods.
Normal Distribution: Characteristics and Examples
Covers the characteristics and importance of the normal distribution, including examples and treatment scenarios.
Investments: Portfolio Selection and Asset Pricing
Covers portfolio selection, asset pricing, market efficiency, and risk management in investments.
Optical Image Sensors: Introduction and Architecture
Explores the history, architecture, and specifications of optical image sensors, including noise suppression techniques and measurement methods.
Elliptical Distributions: Properties and Applications
Covers elliptical distributions, including properties, applications, and risk management implications.
Untitled
Portfolio Management: Risk and Return
Explores portfolio rate of return, valuation, risk characterization, and historical performance, emphasizing diversification benefits and mean-variance analysis.
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