資料來源: Google Book
Finance :a characteristics approach
- 其他作者: Blake, David,
- 出版: London ;New York : Routledge 2000.
- 稽核項: 1 online resource (xi, 131 pages) :illustrations.
- 叢書名: Routledge international studies in money and banking ;7
- 標題: Finance. , Economics. , Finance , BUSINESS & ECONOMICS Finance. , Economics , economics. , Modèles mathématiques. , Finance Mathematical models. , Mathematical models. , Electronic books. , Économie politique. , Finances Modèles mathématiques. , Finances , BUSINESS & ECONOMICS
- ISBN: 0415212901 , 9780415212908
- ISBN: 0203461142 , 0415212901
- 試查全文@TNUA:
- 附註: Includes bibliographical references and index. Portfolio behaviour and asset pricing in a characteristics framework / David Blake -- Financial intermediation and financial innovation in a characteristics framework / David Blake -- A characteristics definition of financial markets / Shelagh A. Heffernan -- The computation of interest equivalences for the nonprice characteristics of bank products / Shelagh A. Heffernan -- A characteristics analysis of financial innovations in short-term retail financial products / Meghnad Desai and William Low.
- 摘要: Since the 1980s, the characteristics model in economics has been applied to the field of finance, and offers a fresh perspective for understanding financial behaviour. This book brings together some of the latest research by leading exponents of the characteristics model and its application to finance.
- 電子資源: https://dbs.tnua.edu.tw/login?url=https://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=74603
- 系統號: 005320941
- 資料類型: 電子書
- 讀者標籤: 需登入
- 引用網址: 複製連結
This text brings together some of the research by leading exponents of the characteristics model and its application to finance. It examines: the characteristics model of portfolio behaviour and asset pricing, and the characteristics model as a unifying framework for analyzing financial markets.
來源: Google Book
來源: Google Book
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