Financial Economics, Risk and Information (2nd Edition)

Financial Economics, Risk and Information (2nd Edition)
Author: Marcelo Bianconi
Publisher:
Total Pages: 496
Release: 2011
Genre:
ISBN: 9789814355148

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Financial Economics, Risk and Information (2nd Edition)
Language: en
Pages: 496
Authors: Marcelo Bianconi
Categories:
Type: BOOK - Published: 2011 - Publisher:

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Financial Economics, Risk and Information
Language: en
Pages: 496
Authors: Marcelo Bianconi
Categories: Business & Economics
Type: BOOK - Published: 2011-08-23 - Publisher: World Scientific

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Financial Economics, Risk and Information presents the fundamentals of finance in static and dynamic frameworks with focus on risk and information. The objectiv
Financial Economics, Risk and Information
Language: en
Pages: 523
Authors: Marcelo Bianconi
Categories: Business & Economics
Type: BOOK - Published: 2003 - Publisher: World Scientific Publishing Company Incorporated

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6. Non-convexities and lotteries in general equilibrium. 6.1. Introduction. 6.2. A static decentralized competitive framework. 6.3. Competitive equilibrium. 6.4
The Economics of Risk and Time
Language: en
Pages: 492
Authors: Christian Gollier
Categories: Business & Economics
Type: BOOK - Published: 2001 - Publisher: MIT Press

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Updates and advances the theory of expected utility as applied to risk analysis and financial decision making.
Financial Economics
Language: en
Pages: 284
Authors: Jürgen Eichberger
Categories: Business & Economics
Type: BOOK - Published: 1997 - Publisher: Oxford University Press, USA

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Numerous examples and diagrams illustrate the key arguments, and the main chapters are followed by guides to the relevant literature and exercises for students.