- ISBN:9787510078590
- 装帧:一般胶版纸
- 册数:暂无
- 重量:暂无
- 开本:16开
- 页数:528
- 出版时间:2014-09-01
- 条形码:9787510078590 ; 978-7-5100-7859-0
本书特色
《金融市场经济学(第2版)》关键词:金融市场、市场经济学、英文。世界图书出版公司北京公司购权影印图书仅限在中国大陆销售,不得以任何方式销往中国大陆以外地区,一旦发现违规者,我公司将追究其法律责任,追偿其违规行为给本公司及合作方造成的经济损失。此版本仅限中华人民共和国境内销售,不包括香港、澳门特别行政区及中国台湾。不得出口。
内容简介
How can yet another book on finance be justified? The field is already well served with advanced works, many of impressive technical erudition. And, towards the other end of the academic spectrum, an abundance of mammoth texts saturates the MBA market. For the general reader, manuals confidently promising investment success compete with sensational diagnoses of financial upheavals to attract attention from the gullible, avaricious or unwary.
目录
preface
1 asset markets and asset prices
2 asset market microstructure
3 predictability of prices and market efficiency
4 decision making under uncertainty
5 portfolio selection: the mean—variance model
6 the capital asset pricing model
7 arbitrage
8 factor models and the arbitrage pricing theory
9 empirical appraisal of the capm and apt
10 present value relationships and price variability
11 intertemporal choice and the equity premium puzzle
12 bond markets and fixed—interest securities
13 term structure of interest rates
14 futures markets ⅰ: fundamentals
15 futures markets ⅱ: speculation and hedging
16 futures markets ⅲ: applications
17 swap contracts and swap markets
18 options markets ⅰ: fundamentals
19 options markets ⅱ: price determination
20 options markets ⅲ: applications
作者简介
Roy E. Bailey是国际知名学者,在数学和物理学界享有盛誉。本书凝聚了作者多年科研和教学成果,适用于科研工作者、高校教师和研究生。
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