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Financial Economics, Risk And Information (2nd Edition)

Marcelo Bianconi

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Autorius Marcelo Bianconi
Leidimo metai 2011 m.
Puslapių skč. 496 psl.
Viršelis Kietas viršelis
ISBN 9789814355131
Leidimas 2 Revised edition
Kategorijos Finansai

Financial Economics, Risk And Information (2nd Edition)

Discover the essential principles of finance with Financial Economics, Risk And Information (2nd Edition) by Marcelo Bianconi, published by World Scientific Publishing Co Pte Ltd in 2011. This comprehensive text spans 496 pages, offering an in-depth exploration of financial concepts within both static and dynamic frameworks. Tailored for undergraduate and first-year graduate students, this revised edition delves into the critical issues surrounding risk and information in finance. Bianconi expertly guides readers through the methods and solutions to key problems in finance theory, emphasizing the economics of uncertainty and information. Whether you're embarking on your finance journey or looking to deepen your understanding, this book serves as an invaluable resource for mastering the complexities of financial economics.

Book cover of: Financial Economics, Risk And Information (2nd Edition). By: Marcelo Bianconi

Financial Economics, Risk And Informa...

Preço normal €118,83
Preço de saldo €118,83 Preço normal €122,50