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Solutions to Financial Economics: Exercises on Classical and Behavioral Finance: Springer Texts in Business and Economics

Autor Thorsten Hens, Marc Oliver Rieger
en Limba Engleză Hardback – 12 noi 2019
This book offers a concise introduction to the field of financial economics and presents, for the first time, recent behavioral finance research findings that help us to understand many puzzles in traditional finance. Tailor-made for master’s and PhD students, it includes tests and exercises that enable students to keep track of their progress. Parts of the book can also be used at the bachelor level.

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Specificații

ISBN-13: 9783662598870
ISBN-10: 3662598876
Pagini: 213
Ilustrații: VII, 213 p. 16 illus., 10 illus. in color.
Dimensiuni: 155 x 235 mm
Greutate: 0.49 kg
Ediția:1st ed. 2019
Editura: Springer Berlin, Heidelberg
Colecția Springer
Seria Springer Texts in Business and Economics

Locul publicării:Berlin, Heidelberg, Germany

Cuprins

Part I: Exercises.- Introduction.- Decision Theory.- Two-Period Model: Mean-Variance Approach.- Two-Period Model: State-Preference Approach.- Multiple-Periods Model.- Theory of the Firm.- Information Asymmetries on Financial Markets.- Time-Continuous Model.- Part II: Solutions.- Introduction.- Decision Theory.-Two-Period Model: Mean-Variance Approach.- Two-Period Model: State-Preference Approach.- Multiple-Periods Model.- Theory of the Firm.- Information Asymmetries on Financial Markets.- Time-Continuous Model.- References.


Notă biografică

Thorsten Hens is a Swiss Finance Institute professor of financial economics at the University of Zurich, Switzerland. He studied in Bonn, Germany, and Paris, France, and previously held positions in Stanford, USA, and Bielefeld, Germany.  Thorsten Hens is an adjunct professor in finance at the Norwegian School of Economics, NHH, in Bergen and at the University of Lucerne. He is an expert in mathematical economics, evolutionary and behavioral finance. 
Marc Oliver Rieger is a professor of banking and finance at the University of Trier, Germany. He studied in Konstanz, Germany and obtained his Ph.D. from the MPI in Leipzig. Previously he held positions in Zurich at the ETH and at the University, at Carnegie Mellon University, Scuola Normale Superiore in Pisa, the University of Bielefeld, Germany and NCCU, Taiwan.
 


 


Textul de pe ultima copertă

This book offers a concise introduction to the field of financial economics and presents, for the first time, recent behavioral finance research findings that help us to understand many puzzles in traditional finance. Tailor-made for master’s and PhD students, it includes tests and exercises that enable students to keep track of their progress. Parts of the book can also be used at the bachelor level. 



Caracteristici

Complements the original textbook Financial Economics with exercises and solutions Includes an extended set of exercises to enable students to master classical and behavioral finance theory with Describes practical applications to illustrate the concepts introduced in the textbook