Fixed Income Modelling
Autor Claus Munken Limba Engleză Paperback – 18 feb 2015
Toate formatele și edițiile | Preț | Express |
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Paperback (1) | 357.42 lei 31-37 zile | |
OUP OXFORD – 18 feb 2015 | 357.42 lei 31-37 zile | |
Hardback (1) | 719.66 lei 31-37 zile | |
OUP OXFORD – 29 iun 2011 | 719.66 lei 31-37 zile |
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Specificații
ISBN-13: 9780198716440
ISBN-10: 0198716443
Pagini: 576
Ilustrații: 40 Figures and 24 Tables
Dimensiuni: 182 x 234 x 30 mm
Greutate: 0.86 kg
Editura: OUP OXFORD
Colecția OUP Oxford
Locul publicării:Oxford, United Kingdom
ISBN-10: 0198716443
Pagini: 576
Ilustrații: 40 Figures and 24 Tables
Dimensiuni: 182 x 234 x 30 mm
Greutate: 0.86 kg
Editura: OUP OXFORD
Colecția OUP Oxford
Locul publicării:Oxford, United Kingdom
Recenzii
I enjoyed reading the book. Claus Munk manages to present many demanding topics in a very clear and understandable way. The book is well suited as a textbook on fixed income for advanced finance students. I also recommend reading to researchers and finance professionals.
Notă biografică
Claus Munk holds a PhD in Economics (1997) and an MSc in Mathematics-Economics (1993) from the University of Southern Denmark. After holding positions at the University of Southern Denmark and Aarhus University, he joined the Copenhagen Business School in 2012 as a Professor of finance. His primary research areas are asset allocation, general asset pricing theory, financial derivatives, household finance, executive compensation, and the application of numerical methods in finance. His research has been published in highly ranked journals such as Journal of Financial Economics, Management Science, Journal of Accounting Research, Journal of Banking and Finance, and Journal of Economic Dynamics and Control. He is the author of the books Fixed Income Modelling and Financial Asset Pricing Theory, both published by Oxford University Press.