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Intermediate financial theory

Author: Jean-Pierre Danthine; John B Donaldson
Publisher: Oxford [England] : Elsevier/Academic Press, ©2015.
Series: Academic Press Advanced Finance
Edition/Format:   Print book : English : 3rd edView all editions and formats
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Includes material on the asset pricing implications of behavioral finance perspectives, recent developments in portfolio choice, derivatives-risk neutral pricing research, and implications of the  Read more...

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Document Type: Book
All Authors / Contributors: Jean-Pierre Danthine; John B Donaldson
ISBN: 9780123865496 0123865492
OCLC Number: 901039147
Description: 450 pages ; 26 x 19 cm.
Contents: On the Role of Financial Markets and Institutions --
The Challenges of Asset Pricing: A Road Map --
Making Choices in Risky Situations --
Measuring Risk and Risk Aversion --
Risk Aversion and Investment Decisions, Part 1 --
Risk Aversion and Investment Decisions, Part II: Modern Portfolio Theory --
Risk Aversion and Investment Decisions, Part III: Challenges to Implementation --
The Capital Asset Pricing Model --
Arrow-Debreu Pricing, Part I --
The Consumption Capital Asset Pricing Model --
Arrow-Debreu Pricing, Part II --
The Martingale Measure: Part I --
The Martingale Measure: Part II --
The Arbitrage Pricing Theory --
Portfolio Management in the Long Run --
Financial Structure and Firm Valuation in Incomplete Markets --
Financial Equilibrium with Differential Information.
Series Title: Academic Press Advanced Finance
Responsibility: Jean-Pierre Danthine, John B. Donaldson.
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"This unique textbook presents classic models and new results in finance, skillfully couched within the more general framework of economic decision-making under uncertainty. Throughout, Danthine and Read more...

 
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