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New Research In Financial Markets at Meripustak

New Research In Financial Markets by Bruno Biais, Marco Pagano, Oxford

Books from same Author: Bruno Biais, Marco Pagano

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  • General Information  
    Author(s)Bruno Biais, Marco Pagano
    PublisherOxford
    ISBN9780199243211
    Pages376
    BindingHardback
    LanguageEnglish
    Publish YearMay 2002

    Description

    Oxford New Research In Financial Markets by Bruno Biais, Marco Pagano

    In recent years, European financial economists have been brought together, via research projects and conferences, by the Centre for Economic Policy Research (CEPR). These fruitful interactions have contributed to the development of financial economics in Europe, and have generated a strong flow of interesting writing--both theoretical and empirical--in the fields of financial markets and corporate finance.

    The chapters in this volume and its companion volume, "Corporate Finance and Baking: A Reader", reflect the depth and breadth of the research interests of European scholars in financial economics. The analysis of financial markets presented in this collection enhances our understanding of asset pricing, both in the context of perfect markets and in the context of market imperfections, such as asymmetric information. Those chapters that appear in "Corporate Finance and Banking" further our
    understanding of the interaction between business cycle and financial imperfections, IPOs, takeover bids, and the interplay between banks and financial markets. Together, these two volumes comprise an authoritative and invaluable reference tool for scholars and others working in the fields of finance,
    corporate finance, and monetary economics.

    1. EVALUATING PORTFOLIO PERFORMANCE WITH STOCHASTIC DISCOUNT FACTORS; 3. INSIDER TRADING WITHOUT NORMALITY; 6. ARBITRAGE CHAINS; 10. DESIGN AND VALUATION OF DEBT CONTRACTS



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