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Multiple Linear Regression for Risk Modeling

Multiple linear regression is a classic statistical model often used in finance for risk modeling. In this short video our director of data science, Max Margenot, walks through how to: choose independent variables, make correct assumptions, and ensure you are using the right number of parameters to quantify risk.

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2 responses

Thanks Phoebe.. so much to learn; so little time :o)

likewise, many thanks. i look forward to watching some great videos. Cheers.