Financial economics, risk and information [Book :]an introduction to methods and models / Marcelo Bianconi.
Von: Bianconi, Marcelo.
Materialtyp: BuchVerlag: Singapore ; New Jersey ; London : World Scientific, 2003Beschreibung: 523 p. : ill. ; 24 cm.ISBN: 9812385029; 9812385029 (pbk.).Schlagwörter: Financial futures | Finance -- Mathematical models | Risk management | Options (Finance) -- PricesDDC-Klassifikation: 332
Inhalte:
1. Basic Mathematical Tools -- 2. Mean-Variance Approach to Financial Decision-Making -- 3. Expected Utility Approach to Financial Decision-Making -- 4. Introduction to Systems of Financial Markets -- 5. Contracts, Contract Design, and Static Agency Relationships -- 6. Non-convexities and Lotteries in General Equilibrium -- 7. Dynamics I: Discrete Time -- 8. Dynamics II: Continuous Time.
Medientyp | Aktueller Standort | Signatur | Exemplarnr. | Status | Fälligkeitsdatum |
---|---|---|---|---|---|
Books | 6october 1105 | 332 B F (Regal durchstöbern) | 1 | Verfügbar |
Includes bibliographical references and index.
1. Basic Mathematical Tools -- 2. Mean-Variance Approach to Financial Decision-Making -- 3. Expected Utility Approach to Financial Decision-Making -- 4. Introduction to Systems of Financial Markets -- 5. Contracts, Contract Design, and Static Agency Relationships -- 6. Non-convexities and Lotteries in General Equilibrium -- 7. Dynamics I: Discrete Time -- 8. Dynamics II: Continuous Time.
All age.
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