Intermediate financial theory

Verfasser / Beitragende:
Jean-Pierre Danthine, John B. Donaldson
Ort, Verlag, Jahr:
Oxford, [England] : Elsevier/Academic Press, 2015
Beschreibung:
1 online resource (450 pages)
Format:
Buch (online)
Ausgabe:
3rd ed.
ID: 528910159
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245 1 0 |a Intermediate financial theory  |h [Elektronische Daten]  |c Jean-Pierre Danthine, John B. Donaldson 
250 |a 3rd ed. 
264 1 |a Oxford, [England]  |b Elsevier/Academic Press  |c c2015 
300 |a 1 online resource (450 pages) 
336 |a text  |b txt  |2 rdacontent/ger 
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338 |a online resource  |b cr  |2 rdacarrier/ger 
490 0 |a Academic Press Advanced Finance 
504 |a Includes bibliographical references and index. 
505 0 0 |t On the Role of Financial Markets and Institutions --  |t The Challenges of Asset Pricing: A Road Map --  |t Making Choices in Risky Situations --  |t Measuring Risk and Risk Aversion --  |t Risk Aversion and Investment Decisions, Part 1 --  |t Risk Aversion and Investment Decisions, Part II: Modern Portfolio Theory --  |t Risk Aversion and Investment Decisions, Part III: Challenges to Implementation --  |t The Capital Asset Pricing Model --  |t Arrow{u2013}Debreu Pricing, Part I --  |t The Consumption Capital Asset Pricing Model --  |t Arrow{u2013}Debreu Pricing, Part II --  |t The Martingale Measure: Part I --  |t The Martingale Measure: Part II --  |t The Arbitrage Pricing Theory --  |t Portfolio Management in the Long Run --  |t Financial Structure and Firm Valuation in Incomplete Markets --  |t Financial Equilibrium with Differential Information 
506 |a Lizenzbedingungen können den Zugang einschränken. License restrictions may limit access. 
650 0 |a Finance 
650 0 |a Business enterprises  |x Finance 
650 0 |a Economics 
650 7 |a Finance  |0 (OCoLC)fst00924349  |2 fast 
700 1 |a Donaldson  |D John B. 
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