Financial Economics, Risk and Information
An Introduction to Methods and Models
By Marcelo Bianconi

"Financial Economics, Risk and Information" was published by World Scientific Publishing Company in November 2003 - Singapore River Edge, N.J, it has 540 pages and the language of the book is English.
“Financial Economics, Risk and Information” Metadata:
- Title: ➤ Financial Economics, Risk and Information
- Author: Marcelo Bianconi
- Language: English
- Number of Pages: 540
- Publisher: ➤ World Scientific Publishing Company
- Publish Date: November 2003
- Publish Location: Singapore River Edge, N.J
“Financial Economics, Risk and Information” Subjects and Themes:
- Subjects: ➤ Finance - Mathematical models - Risk - Information theory in finance - BUSINESS & ECONOMICS - Besliskunde - Wiskundige methoden - Financiële instellingen
Edition Specifications:
- Format: Hardcover
- Weight: 1.8 pounds
- Dimensions: 9 x 6.1 x 1.3 inches
Edition Identifiers:
- The Open Library ID: OL9196439M - OL9147448W
- ISBN-13: 9789812385017 - 9789812775399
- ISBN-10: 9812385010
- All ISBNs: 9812385010 - 9789812385017 - 9789812775399
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Snippets and Summary:
We offer in this chapter an introduction to some basic mathematical tools used throughout this book.
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