Free Download Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger

June 16, 2013 0 Comments

Free Download Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger

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Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger

Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger


Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger


Free Download Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger

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Foundations for Financial EconomicsBy Chi-Fu Huang, Robert H. Litzenberger

Based on formal derivations of financial theory, this volume provides a rigorous exploration of individual's consumption and portfolio decisions under uncertainty. Features in-depth coverage of such topics as: concepts of risk aversion and stochastic dominance; mathematical properties of a portfolio frontier; distributional conditions for mutual fund separation; capital asset pricing models and arbitrage pricing models; general pricing rules for securities that pay off in more than one state of nature; the pricing of options; rational expectation models of risky asset prices; signaling models; how multiperiod dynamic economies can be modeled; a multiperiod economy with emphasis on valuation by arbitrage; econometric issues associated with testing capital asset pricing models. For readers interested in a rigorous overview of financial economicsn individual consumption point of view. © 1988

  • Sales Rank: #1225069 in Books
  • Published on: 1988-02
  • Original language: English
  • Number of items: 1
  • Binding: Hardcover
  • 380 pages

From the Publisher
The purpose of the book is to provide the foundations for the study of modern financial economics. Rather than giving superficial coverage of a wide range of topics, the book concentrates on individuals' consumption and portfolio decisions under uncertainty and their implications for the valuation of securities. Prentice Hall acquired this title from Elsevier Publishers.

From the Back Cover
Based on formal derivations of financial theory, this volume provides a rigorous exploration of individual's consumption and portfolio decisions under uncertainty. Features in-depth coverage of such topics as: concepts of risk aversion and stochastic dominance; mathematical properties of a portfolio frontier; distributional conditions for mutual fund separation; capital asset pricing models and arbitrage pricing models; general pricing rules for securities that pay off in more than one state of nature; the pricing of options; rational expectation models of risky asset prices; signaling models; how multiperiod dynamic economies can be modeled; a multiperiod economy with emphasis on valuation by arbitrage; econometric issues associated with testing capital asset pricing models. For readers interested in a rigorous overview of financial economicsn individual consumption point of view. © 1988

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