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Asset Pricing and Portfolio Choice Theory

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Asset Pricing and Portfolio Choice Theory Kerry Back
Libristo kod: 01322693
Nakladnici Oxford University Press Inc, rujan 2010
This book is intended as a textbook for Ph.D. students in finance and as a reference book for academ... Cijeli opis
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This book is intended as a textbook for Ph.D. students in finance and as a reference book for academics. It is written at an introductory level but includes detailed proofs and calculations as section appendices. It covers the classical results on single-period, discrete-time, and continuous-time models. It also treats various proposed explanations for the equity premium and risk-free rate puzzles: persistent heterogeneous idiosyncratic risks, internal habits, external habits, and recursive utility. Most of the book assumes rational behavior, but two topics important for behavioral finance are covered: heterogeneous beliefs and non-expected-utility preferences. There are also chapters on asymmetric information and production models. The book includes numerous exercises designed to provide practice with the concepts and also to introduce additional results. Each chapter concludes with a notes and references section that supplies references to additional developments in the field.

Informacije o knjizi

Puni naziv Asset Pricing and Portfolio Choice Theory
Autor Kerry Back
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 2010
Broj stranica 504
EAN 9780195380613
ISBN 0195380614
Libristo kod 01322693
Težina 830
Dimenzije 241 x 165 x 28
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