Regression Model that study the relationship between stock market and economic indicators
Budget: $15 – $25 USD
1- Develop R model to study the attached data in order to identify the most economic indicators that affect the US stock market (Dow Jones, S&P500 and NASDAQ)
2- Include model validation methodologies.
3- Write a report with every step of all outcomes and interpret it.
4- Another model for the period 2006 to 2009 to focus on the most factor affected the financial crisis based on the data given "follow step 1,2,3"
5- Write a conclusion on how we can use these economic indicators in predicting such crisis.
2- Include model validation methodologies.
3- Write a report with every step of all outcomes and interpret it.
4- Another model for the period 2006 to 2009 to focus on the most factor affected the financial crisis based on the data given "follow step 1,2,3"
5- Write a conclusion on how we can use these economic indicators in predicting such crisis.