This book provides an introduction to the statistical software R and its
application with an empirical approach in finance and economics. It is
specifically targeted towards undergraduate and graduate students. It
provides beginner-level introduction to R using RStudio and reproducible
research examples. It will enable students to use R for data cleaning,
data visualization and quantitative model building using statistical
methods like linear regression, econometrics (GARCH etc), Copulas, etc.
Moreover, the book demonstrates latest research methods with
applications featuring linear regression, quantile regression, panel
regression, econometrics, dependence modelling, etc. using a range of
data sets and examples.