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- Title The Economics of Financial Markets
- Author Roy E. Bailey
- Binding Paperback
- Edition Paperback
- Pages 550
- Volumes 1
- Language ENG
- Publisher Cambridge University Press, Cambridge
- Date 2005-05-26
- Illustrated Yes
- Features Bibliography, Illustrated, Index, Table of Contents
- ISBN 9780521612807 / 0521612802
- Weight 2.34 lbs (1.06 kg)
- Dimensions 9.72 x 6.84 x 1.3 in (24.69 x 17.37 x 3.30 cm)
- Library of Congress subjects Capital market, Futures market
- Library of Congress Catalog Number 2004058137
- Dewey Decimal Code 332.041
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The Economics of Financial Markets
by Bailey, Roy E.
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The Economics of Financial Markets
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The Economics of Financial Markets
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The Economics of Financial Markets
by Bailey, Roy E
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Cambridge University Press, 2005-06-20. Illustrated. paperback. Used: Good.
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The Economics of Financial Markets
by Roy E. Bailey
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Paperback / softback. New. The Economics of Financial Markets provides comprehensive cover of the economic principles underlying all financial markets, focusing on markets for equities, bonds, futures and options contracts. This textbook is suitable for advanced undergraduates and for beginning graduate students in financial economics.
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The Economics of Financial Markets
by Roy E. (University of Essex) Bailey
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Paperback / softback. New. New Book; Fast Shipping from UK; Not signed; Not First Edition; The Economics of Financial Markets provides comprehensive cover of the economic principles underlying all financial markets, focusing on markets for equities, bonds, futures and options contracts. This textbook is suitable for advanced
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The Economics of Financial Markets
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The Economics of Financial Markets
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The Economics of Financial Markets by Bailey, Roy E.
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ISBN: 9780521612807Cambridge University Press, 29 February 2016
Paperback, 550 pages
Description
The Economics of Financial Markets presents a concise overview of capital markets, suitable for advanced undergraduates and for beginning graduate students in financial economics. Following a brief overview of financial markets - their microstructure and the randomness of stock market prices - this textbook explores how the economics of uncertainty can be applied to financial decision-making. The mean-variance model of portfolio selection is discussed, with analysis extended to the capital asset pricing model (CAPM). Arbitrage plays a pivotal role in finance and is studied in a variety of contexts, including the APT model of asset prices. Methods for the empirical evaluation of CAPM and APT are also discussed, together with the volatility of asset prices, the intertemporal CAPM and the equity premium puzzle. An analysis of bond contracts leads into an assessment of theories of the term structure of… Read More
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