¸Æ±æ´ëÇб³(McGill University)¿¡¼ ±ÝÀ¶ÇÐÀ¸·Î ¹Ú»ç ÇÐÀ§¸¦ ¹Þ¾Ò°í 8°³ ´ëÇб³¿¡¼ ´Ù³â°£ ±ÝÀ¶ °ü·Ã °ÀǸ¦ ÇÏ°í ÀÖ´Ù. ½ÃÀå ¹Ì½Ã ±¸Á¶·Ð(market microstructure), ¿ÀÇÂ-¼Ò½º ±ÝÀ¶(open-source finance), ±ÝÀ¶ µ¥ÀÌÅÍ ºÐ¼®Çп¡¼ ´Ù¾çÇÑ ¿¬±¸ È°µ¿°ú °ÀǸ¦ ÇÏ°í ÀÖ´Ù. ȸ°è ±ÝÀ¶ Àú³Î(Journal of Accounting and Finance)>, <ÀºÇà ±ÝÀ¶ Àú³Î(Journal of Banking and Finance)>, <½ÇÁõ ±ÝÀ¶ Àú³Î(Journal of Empirical Finance)>, <ºÎµ¿»ê ¸®ºä(Real Estate Review)>, <ȯÅÂÆò¾ç ±ÝÀ¶ Àú³Î(Pacific Basin Finance Journal)>, <ÀÀ¿ë ±ÝÀ¶ °æÁ¦ÇÐ(Applied Financial Economics)>, <¿ÀÆÛ·¹ÀÌ¼Ç ¸®¼Ä¡ ÇÐȸÁö(Annals of Operations Research)> µî¿¡ ½Ç¸° ³í¹®À» Æ÷ÇÔÇØ 22°³ÀÇ ÀúÀÛ¹°À» ±â°íÇÏ°í ÀÖ´Ù. SAS, R, ÆÄÀ̽ã, ¸ÅÆ®·¦(MATLAB), ±×¸®°í C ¾ð¾î µîÀÇ ¿©·¯ ÄÄÇ»ÅÍ ¾ð¾î¿¡ ´ÉÇÏ´Ù. ±ÝÀ¶¿¡ R°ú ÆÄÀ̽㠵Π°¡Áö ¿ÀǼҽº ¼ÒÇÁÆ®¿þ¾î¸¦ Àû¿ëÇØ 4±ÇÀ» ÁýÇÊÇß´Ù. ¡ºPython for Finance¡»(packt, 2014), ¡ºPython for Finance - Second Edition¡»(packt, 2017), ¡ºPython for Finance(Chinese)¡»(ìÑÚÅ??õó÷úÞä, 2017), ¡ºFinancial Modeling using R¡»(Tate, 2016)ÀÌ´Ù. ¶ÇÇÑ µ¥ÀÌÅÍ ºÐ¾ß¿¡¼µµ ±ÝÀ¶ µ¥ÀÌÅͺ£À̽ºÀÇ Àü¹®°¡ÀÌ´Ù. 2003³âºÎÅÍ 2010³â±îÁö ¿ÍÆ° ½ºÄð¿¡¼ ÄÁ¼³ÅÏÆ®·Î ÀÏÇÏ¸é¼ ¿¬±¸¿øµéÀÇ ÇÁ·Î±×·¡¹Ö°ú µ¥ÀÌÅÍ °ü·Ã ÀÛ¾÷À» µµ¿Ô´Ù.
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