The Theory of Financial Markets
by Jan Mossin
ISBN: 9780139136993
Book Description: Prentice-Hall, Inc., Englewood Cliffs, NJ, 1973. Hardcover. 8vo - over 7¾ - 9¾" tall. Hardcover, Brown cloth boards with white title to spine and cover, First Printing 1973, Assumed First Edition, Ex-Lib UCLA.
Book Condition: Fair, previous owner fixed cracked front hinge with masking tape, boards rubbed, general shelf wear, corners bumped, spine cocked, yellow highlighting and pen notes throughout, pages lightly tanned.
Contents: Preface, 1. Introduction and Overview of the Book, 2. Risk Taking and Risk Aversion, 3. Portfolio Theory: The Demand for Securities, 4. Security Market Equilibrium, 5. Extensions of the Valuation Model, 6. Efficiency of Security Markets, 7. Corporate Investment Decisions, 8. Distribution of Investment Capital. Indexed, 171 Pages.
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