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Asset Pricing and Portfolio Choice Theory
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Asset Pricing and Portfolio Choice Theory Hardcover - 2010 - 1st Edition

by Kerry Back


From the publisher

In Asset Pricing and Portfolio Choice Theory, Kerry E. Back at last offers what is at once a welcoming introduction to and a comprehensive overview of asset pricing. Useful as a textbook for graduate students in finance, with extensive exercises and a solutions manual available for professors, the book will also serve as an essential reference for scholars and professionals, as it includes detailed proofs and calculations as section appendices. Topics covered include the classical results on single-period, discrete-time, and continuous-time models, as well as various proposed explanations for the equity premium and risk-free rate puzzles and chapters on heterogeneous beliefs, asymmetric information, non-expected utility preferences, and production models. The book includes numerous exercises designed to provide practice with the concepts and to introduce additional results. Each chapter concludes with a notes and references section that supplies pathways to additional developments in the field.

Details

  • Title Asset Pricing and Portfolio Choice Theory
  • Author Kerry Back
  • Binding Hardcover
  • Edition number 1st
  • Edition 1
  • Pages 504
  • Volumes 1
  • Language ENG
  • Publisher Oxford University Press, USA
  • Date 2010-09-10
  • Features Bibliography, Index
  • ISBN 9780195380613 / 0195380614
  • Weight 1.8 lbs (0.82 kg)
  • Dimensions 9.3 x 6.2 x 1.2 in (23.62 x 15.75 x 3.05 cm)
  • Themes
    • Aspects (Academic): Economic
  • Library of Congress subjects Portfolio management, Capital assets pricing model
  • Library of Congress Catalog Number 2009036680
  • Dewey Decimal Code 332.632

About the author


Kerry E. Back is J. Howard Creekmore Professor of Finance at the Jones School of Business at Rice University, and is the author of A Course in Derivative Securities: Introduction to Theory and Computation, as well as numerous journal articles in finance, economics, and mathematics.
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Asset Pricing and Portfolio Choice Theory (Financial Management Association Survey and Synthesis)

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