First, I am a french student, so forgive me for my english which can be not clear at all.
I have to analyze a financial serie. I have some difficulties to make the second part of the work which focuses on ARMA model. I can't read (interpret?) my ACF and PACF correlogramm.
To my mind, here we have a MA(0) but I don't know if it's possible. In this case, what does it mean ?
And I don't know also with the PACF graph, if we are in a AR(3) or AR(6). And why the first stick is not over the "confidence level" ?
It is possible that my interpretations are false, please tell me.
Tank you in advance, Best regards,
Maxime