《金融经济学导论》(Financial Economics)的英文原版是由弗兰克·J·法博齐(Frank J. Fabozzi)所著,由Wiley出版社出版。这本书是金融经济学领域的经典之作,为读者提供了全面的金融经济学理论知识和实践应用。
该书内容涵盖了金融市场、金融机构、金融工具、投资策略、风险管理等多个方面,深入剖析了金融市场的运作机制、金融工具的定价和风险管理等核心问题。同时,该书还介绍了金融市场的监管和政策制定,以及金融机构的经营管理和投资策略等方面的内容。
该书的英文原版语言流畅,内容深入浅出,适合金融经济学领域的学者、从业人员和学生阅读。通过阅读该书,读者可以深入了解金融经济学的理论和实践,提高自己在金融领域的专业素养和竞争力。
需要注意的是,该书的内容较为专业和深入,需要读者具备一定的金融基础知识和英语阅读能力。同时,由于该书是英文原版,对于非英语国家的读者来说,可能存在一定的阅读难度。因此,建议读者在阅读前做好充分的准备,如有需要可以参考相关中文翻译或注释版本。
Financial Economics
基本信息
Format:Hardback 672 pages
Publisher:John Wiley & Sons Inc
Imprint:John Wiley & Sons Inc
ISBN:9780470596203
Published: 31 Oct 2011
Classifications:Finance
Readership:Professional & Vocational
Weight:1218g
Dimensions:238 x 199 x 29 (mm)
Pub. Country:United States
页面参数仅供参考,具体以实物为准
书籍简介
《金融经济学导论》已经迅速成为一个强大的、不断增长的市场。由Frank Fabozzi, Ted Neave and Gaofu Zhou撰写的《金融经济学导论》一书通过对微观经济学理论的坚实基础介绍了金融的基本思想。本文以微积分为基础,探讨了分析个人和企业管理者决策的理论框架,以及金融经济学和微观经济学共同研究的领域。
它还探究了这些决定对金融资产价格的相互作用。
Financial Economics has quickly established itself as a strong and growing market. Introduction to Financial Economics by Frank Fabozzi, Ted Neave, and Gaofu Zhou presents an introduction to basic financial ideas through a strong grounding in microeconomic theory. This calculus based text explores the theoretical framework for analyzing the decisions by individuals and managers of firms, and area which is common to both the financial economics and microeconomics.
It also explores the interplay of these decisions on the prices of financial assets.
作者简介
Frank J. Fabozzi博士曾担任IndexIQ, Inc高级顾问。Fabozzi现任信息管理网络有限责任公司负责人,自2006年起担任耶鲁大学管理学院金融学教授。从1986年到1992年8月,Fabozzi是麻省理工学院斯隆管理学院金融学和会计学客座教授。1994年至2006年,他在耶鲁大学担任金融学副教授。他与佛朗哥•莫迪利亚尼(Franco Modigliani)合著了《金融市场与资本市场基础:机构与工具》(Foundations of Financial Markets and Capital Markets: Institutions and Instruments)教科书,与哈里•马科维茨(Harry Markowitz)合著了《投资管理理论与实践》(the Theory and Practice of Investment Management)。他在风险管理和结构性金融等领域发表过大量文章。自1994年以来,他一直是耶鲁大学管理学院的Becton研究员。Fabozzi被列入固定收益分析师协会的名人堂,并于2007年获得CFA协会颁发的C. Stewart SheppardAward。他是一名特许金融分析师和注册会计师。Fabozzi博士拥有纽约城市大学的学士、硕士和博士学位。
Dr. Frank J. Fabozzi PhD, CFA, CPA serves as Senior Advisor of IndexIQ, Inc. Dr. Fabozzi serves as Principal of Information Management Network, LLC. He has been Professor in the Practice of Finance at Yale University, School of Management since 2006. Dr. Fabozzi was a Visiting Professor of Finance and Accounting at the Sloan School of Management, Massachusetts Institute of Technology from 1986 to August 1992. He was Adjunct Professor of Finance at Yale University from 1994 to 2006. He co-authored with Franco Modigliani the textbooks Foundations of Financial Markets and Capital Markets: Institutions and Instruments and co edited with Harry Markowitz The Theory and Practice of Investment Management. He is a widely published author on topics such as risk management and structured finance. He has been a Becton Fellow, Yale University, School of Management since 1994. Dr. Fabozzi was inducted into the Fixed Income Analysts Society's Hall of Fame and is the 2007 recipient of the C. Stewart SheppardAward given by the CFA Institute. He is a Chartered Financial Analyst and Certified Public Accountant. Dr. Fabozzi holds B.A., M.A. and Ph.D. from City University of New York.
著者:Frank Fabozzi;
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