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

Marcelo Bianconi

in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.

Abstract: Latest Edition: Financial Economics, Risk and Information (2nd Edition)

Keywords: Risk and Information; Systems of Financial Markets; Contracts and Asymmetric Information; General Equilibrium Under Uncertainty; Non-Convexities; Portfolio Choice and Asset Pricing (search for similar items in EconPapers)
Date: 2003
ISBN: 9789812385017
References: Add references at CitEc
Citations: View citations in EconPapers (2)

Downloads: (external link)
https://www.worldscientific.com/worldscibooks/10.1142/5348 (text/html)
Ebook Access is available upon purchase

Chapters in this book:

Ch 1 Basic Mathematical Tools , pp 6-66 Downloads
Marcelo Bianconi
Ch 2 Mean-Variance Approach to Financial Decision-Making , pp 67-106 Downloads
Marcelo Bianconi
Ch 3 Expected Utility Approach to Financial Decision-Making , pp 107-168 Downloads
Marcelo Bianconi
Ch 4 Introduction to Systems of Financial Markets , pp 169-211 Downloads
Marcelo Bianconi
Ch 5 Contracts, Contract Design, and Static Agency Relationships , pp 212-283 Downloads
Marcelo Bianconi
Ch 6 Non-convexities and Lotteries in General Equilibrium , pp 284-331 Downloads
Marcelo Bianconi
Ch 7 Dynamics I: Discrete Time , pp 332-451 Downloads
Marcelo Bianconi
Ch 8 Dynamics II: Continuous Time , pp 452-513 Downloads
Marcelo Bianconi

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