£59.59

World Scientific Publishing Company Financial Economics, Risk And Information (2nd Edition)

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£62.00 £54.19 £55.89 £57.60 £59.30 £61.01 £62.71 25 January 2026 04 February 2026 14 February 2026 24 February 2026 07 March 2026

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Description

Financial Economics, Risk and Information presents the fundamentals of finance in static and dynamic frameworks with focus on risk and information. The objective of this book is to introduce undergraduate and first-year graduate students to the methods and solutions of the main problems in finance theory relating to the economics of uncertainty and information. The main goal of the second edition is to make the materials more accessible to a wider audience of students and finance professionals. The focus is on developing a core body of theory that will provide the student with a solid intellectual foundation for more advanced topics and methods. The new edition has streamlined chapters and topics, with new sections on portfolio choice under alternative information structures. The starting point is the traditional mean-variance approach, followed by portfolio choice from first principles. The topics are extended to alternative market structures, alternative contractual arrangements and agency, dynamic stochastic general equilibrium in discrete and continuous time, attitudes towards risk and towards inter-temporal substitution in discrete and continuous time; and option pricing. In general, the book presents a balanced introduction to the use of stochastic methods in discrete and continuous time in the field of financial economics.

Product Specifications

Format
Hardcover
Domain
Amazon UK
Release Date
01 December 2011
Listed Since
01 April 2011

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No barcode data available

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