Intermediate Financial Theory (Academic Press Advanced Finance)

3,4 valoración promedio
( 5 valoraciones por GoodReads )
 
9780123865496: Intermediate Financial Theory (Academic Press Advanced Finance)
Review:

"This is an excellent book that introduces financial asset pricing theory as a natural extension of microeconomic and general equilibrium theory. The exposition of classic and recent results is clear, thorough and accessible to any economist or graduate student who has a good grounding in microeconomic theory. Having mastered this material the reader is well equipped to tackle the many variations of asset pricing models in the literature." --Frank Milne, Queen's University, Professor of Economics and Finance "This book is ideally suited to students wishing to gain a deeper understanding of the basic concepts of financial economics beyond those presented in a typical MBA program without having to deal with unnecessary mathematical details. The exposition is superb and enriching of intuition. The book, written by two of the professions leading experts, is unique." -- Rajnish Mehra, Professor of Finance, University of California, Santa Barbara

Review:

"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 Donaldson carefully balance the need for both intuition and technical detail." --Peter Ireland, Boston College

"Sobre este título" puede pertenecer a otra edición de este libro.

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1.

Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Elsevier Science & Technology
ISBN 10: 0123865492 ISBN 13: 9780123865496
Nuevos Cantidad: 5
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TextbookRush
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Descripción Elsevier Science & Technology. Estado de conservación: Brand New. Ships SAME or NEXT business day. We Ship to APO/FPO addr. Choose EXPEDITED shipping and receive in 2-5 business days within the United States. See our member profile for customer support contact info. We have an easy return policy. Nº de ref. de la librería 42648315

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Danthine, Jean-Pierre; Donaldson, John B.
ISBN 10: 0123865492 ISBN 13: 9780123865496
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Descripción Estado de conservación: New. New Book. Nº de ref. de la librería 0123865492SBK

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Academic Press (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
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Book Deals
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Descripción Academic Press, 2014. Estado de conservación: New. Brand New, Unread Copy in Perfect Condition. A+ Customer Service! Summary: "This is an excellent book that introduces financial asset pricing theory as a natural extension of microeconomic and general equilibrium theory. The exposition of classic and recent results is clear, thorough and accessible to any economist or graduate student who has a good grounding in microeconomic theory. Having mastered this material the reader is well equipped to tackle the many variations of asset pricing models in the literature." --Frank Milne, Queen's University, Professor of Economics and Finance "This book is ideally suited to students wishing to gain a deeper understanding of the basic concepts of financial economics beyond those presented in a typical MBA program without having to deal with unnecessary mathematical details. The exposition is superb and enriching of intuition. The book, written by two of the professions leading experts, is unique." -- Rajnish Mehra, Professor of Finance, University of California, Santa Barbara. Nº de ref. de la librería ABE_book_new_0123865492

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Elsevier Science Publishing Co Inc, United States (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
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The Book Depository US
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Descripción Elsevier Science Publishing Co Inc, United States, 2014. Hardback. Estado de conservación: New. 3rd Revised edition. 238 x 194 mm. Language: English . Brand New Book. Targeting readers with backgrounds in economics, Intermediate Financial Theory, Third Edition includes new material on the asset pricing implications of behavioral finance perspectives, recent developments in portfolio choice, derivatives-risk neutral pricing research, and implications of the 2008 financial crisis. Each chapter concludes with questions, and for the first time a freely accessible website presents complementary and supplementary material for every chapter. Known for its rigor and intuition, Intermediate Financial Theory is perfect for those who need basic training in financial theory and those looking for a user-friendly introduction to advanced theory. Nº de ref. de la librería AA59780123865496

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5.

Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Elsevier Science Publishing Co Inc, United States (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
Nuevos Tapa dura Cantidad: 10
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The Book Depository
(London, Reino Unido)
Valoración
[?]

Descripción Elsevier Science Publishing Co Inc, United States, 2014. Hardback. Estado de conservación: New. 3rd Revised edition. 238 x 194 mm. Language: English . Brand New Book. Targeting readers with backgrounds in economics, Intermediate Financial Theory, Third Edition includes new material on the asset pricing implications of behavioral finance perspectives, recent developments in portfolio choice, derivatives-risk neutral pricing research, and implications of the 2008 financial crisis. Each chapter concludes with questions, and for the first time a freely-accessible website presents complementary and supplementary material for every chapter. Known for its rigor and intuition, Intermediate Financial Theory is perfect for those who need basic training in financial theory and those looking for a user-friendly introduction to advanced theory. Features: completely updated edition of classic textbook that fills a gap between MBA- and PhD-level texts; clear explanations of key concepts and requires limited mathematical prerequisites; online solutions manual available; and updates include new structure emphasizing the distinction between the equilibrium and the arbitrage perspectives on valuation and pricing, and a new chapter on asset management for the long-term investor. Nº de ref. de la librería AA59780123865496

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Elsevier Science Publishing Co Inc 2014-09-25, San Diego (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
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Descripción Elsevier Science Publishing Co Inc 2014-09-25, San Diego, 2014. hardback. Estado de conservación: New. Nº de ref. de la librería 9780123865496

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Academic Press (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
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Descripción Academic Press, 2014. Hardcover. Estado de conservación: New. Nº de ref. de la librería DADAX0123865492

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Academic Press (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
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Descripción Academic Press, 2014. HRD. Estado de conservación: New. New Book. Shipped from UK in 4 to 14 days. Established seller since 2000. Nº de ref. de la librería GB-9780123865496

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Academic Press (2014)
ISBN 10: 0123865492 ISBN 13: 9780123865496
Nuevos Tapa dura Cantidad: 3
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Valoración
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Descripción Academic Press, 2014. Estado de conservación: New. 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 2008 financial crisis. Series: Academic Press Advanced Finance. Num Pages: 580 pages, colour illustrations, black & white line drawings, black & white tables, figures. BIC Classification: KFF. Category: (P) Professional & Vocational. Dimension: 246 x 192 x 32. Weight in Grams: 1264. . 2014. 3rd Edition. Hardcover. . . . . . Nº de ref. de la librería V9780123865496

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Danthine, Jean-Pierre; Donaldson, John B.
Editorial: Elsevier Science Publishing Co Inc
ISBN 10: 0123865492 ISBN 13: 9780123865496
Nuevos Tapa dura Cantidad: 2
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THE SAINT BOOKSTORE
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Descripción Elsevier Science Publishing Co Inc. Hardback. Estado de conservación: new. BRAND NEW, Intermediate Financial Theory (3rd Revised edition), Jean-Pierre Danthine, John B. Donaldson, Targeting readers with backgrounds in economics, Intermediate Financial Theory, Third Edition includes new material on the asset pricing implications of behavioral finance perspectives, recent developments in portfolio choice, derivatives-risk neutral pricing research, and implications of the 2008 financial crisis. Each chapter concludes with questions, and for the first time a freely-accessible website presents complementary and supplementary material for every chapter. Known for its rigor and intuition, Intermediate Financial Theory is perfect for those who need basic training in financial theory and those looking for a user-friendly introduction to advanced theory. Features: completely updated edition of classic textbook that fills a gap between MBA- and PhD-level texts; clear explanations of key concepts and requires limited mathematical prerequisites; online solutions manual available; and updates include new structure emphasizing the distinction between the equilibrium and the arbitrage perspectives on valuation and pricing, and a new chapter on asset management for the long-term investor. Nº de ref. de la librería B9780123865496

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