Intermediate financial theory
On the Role of Financial Markets and Institutions -- The Challenges of Asset Pricing: A Road Map -- Making Choices in Risky Situations -- Measuring Risk and Risk Aversion -- Risk Aversion and Investment Decisions, Part 1 -- Risk Aversion and Investment Decisions, Part II: Modern Portfolio Theory --...
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Format: | UnknownFormat |
Sprache: | eng |
Veröffentlicht: |
Amsterdam, Boston, Heidelberg u.a.
Elsevier, Academic Press
2015
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Ausgabe: | 3. ed. |
Schlagworte: | |
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Zusammenfassung: | On the Role of Financial Markets and Institutions -- The Challenges of Asset Pricing: A Road Map -- Making Choices in Risky Situations -- Measuring Risk and Risk Aversion -- Risk Aversion and Investment Decisions, Part 1 -- Risk Aversion and Investment Decisions, Part II: Modern Portfolio Theory -- Risk Aversion and Investment Decisions, Part III: Challenges to Implementation -- The Capital Asset Pricing Model -- Arrow{u2013}Debreu Pricing, Part I -- The Consumption Capital Asset Pricing Model -- Arrow{u2013}Debreu Pricing, Part II -- The Martingale Measure: Part I -- The Martingale Measure: Part II -- The Arbitrage Pricing Theory -- Portfolio Management in the Long Run -- Financial Structure and Firm Valuation in Incomplete Markets -- Financial Equilibrium with Differential Information |
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Beschreibung: | Literaturangaben |
Beschreibung: | XVII, 553 S. graph. Darst. |
ISBN: | 9780123865496 978-0-12-386549-6 |