Financial markets theory : equilibrium, efficiency, and information

Gespeichert in:
Bibliographische Detailangaben
1. Verfasser: Barucci, Emilio, 1968-
Format: Livre papier
Sprache:Anglais
Veröffentlicht: London : Springer cop. 2003.
Schriftenreihe:Springer finance
Schlagworte:
Autres localisations: Voir dans le Sudoc
Inhaltsangabe:
  • 1. Prerequisites
  • 2. Choices under risk
  • 3. Stochastic dominance, mutual funds separation and postfolio frontier
  • 4. General equilibrium theory ad risk exchange
  • 5. Risk premium: capital asset pricing model and asset pricing theory
  • 6. Multiperiod market models
  • 7. Information and financial markets
  • 8. Uncertainty, rationality and heterogeneity
  • 9. Financial markets microstructure
  • 10. Corporate finance
  • 11. Intermediation and regulation