Quiz 4 of Python and Statistics for Financial Analysis
Quiz 4 of Python and Statistics for Financial Analysis 1. Question 1 Why do you use coefficient of correlation, instead of covariance, when calculating the association between two random…
Quiz 4 of Python and Statistics for Financial Analysis 1. Question 1 Why do you use coefficient of correlation, instead of covariance, when calculating the association between two random…
Quiz 3 of Python and Statistics for Financial Analysis 1. Question 1 What is true about sample and population? 1 point Population can always be directly observed Parameters from…
Quiz 2 of Python and Statistics for Financial Analysis 1. Question 1 Roll two dice and X is the sum of faces values. If we roll them 5 times…
Quiz 1 of Python and Statistics for Financial Analysis 1. Question 1 Which of the following library has DataFrame object? 1 point Matplotlib Numpy Statsmodels Pandas ————————————————————————————————– 2. Question…