Financial Economics, Risk and Information: An Introduction to Methods and Models

financial economics, risk and information: an introduction to methods and models

more information about Financial Economics, Risk and Information: An Introduction to Methods and Models

Financial Economics, Risk and Information: An Introduction to Methods and Models

Editorial Reviews
Book Description
This book presents a balanced blend of pure finance and contract theory in the presence of risk, alternative forms of information structures, and static and dynamic frameworks. In particular, it provides an introduction to the use of stochastic methods in financial economics and finance. The following topics are covered: financial risk and asset pricing and asset returns under alternative contractual arrangements, portfolio choice, individual behavior towards risk, general equilibrium under uncertainty in discrete and continuous time settings, indivisibilities and nonconvexities in a general equilibrium context, contract theory, mechanism design and principal-agent relationships in partial and general equilibrium contexts, credit markets, and option pricing. --This text refers to the Hardcover edition.

Book Info
Text presents a balanced blend of finance and contract theory in the presence of risk, alternative forms of information structures, and static and dynamic frameworks. For undergraduate and graduate students. Softcover, hardcover listed in approval week 2003-50.

Financial Economics, Risk and Information: An Introduction to Methods and Models

Financial Economics, Risk and Information: An Introduction to Methods and Models,Marcelo Bianconi,World Scientific Publishing Company,9812385029,Banks & Banking,Business & Economics,Business / Economics / Finance,Business/Economics,Finance,Economics

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English Books

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