Exercises and Solutions in Finance

Hundreds of engaging, class-tested finance exercises (and detailed solutions) that test student understanding of the material. Many are educational in their own right—for example, delaying social security benefits does not give a safe 8% real return; the correlation between bond and stock returns is not stable, and most measures of company performance regress toward the mean.

1147073917
Exercises and Solutions in Finance

Hundreds of engaging, class-tested finance exercises (and detailed solutions) that test student understanding of the material. Many are educational in their own right—for example, delaying social security benefits does not give a safe 8% real return; the correlation between bond and stock returns is not stable, and most measures of company performance regress toward the mean.

49.99 Pre Order
Exercises and Solutions in Finance

Exercises and Solutions in Finance

by Gary Smith
Exercises and Solutions in Finance

Exercises and Solutions in Finance

by Gary Smith

eBook

$49.99 
Available for Pre-Order. This item will be released on September 1, 2025

Available on Compatible NOOK devices, the free NOOK App and in My Digital Library.
WANT A NOOK?  Explore Now

Related collections and offers


Overview

Hundreds of engaging, class-tested finance exercises (and detailed solutions) that test student understanding of the material. Many are educational in their own right—for example, delaying social security benefits does not give a safe 8% real return; the correlation between bond and stock returns is not stable, and most measures of company performance regress toward the mean.


Product Details

ISBN-13: 9781040403235
Publisher: CRC Press
Publication date: 09/01/2025
Sold by: Barnes & Noble
Format: eBook
Pages: 280

About the Author

Gary Smith is the Fletcher Jones Professor of Economics at Pomona College. He has won two teaching awards and written (or co-authored) more than 100 academic papers and 20 books. His statistical and financial research has been featured in various media, including The New York Times, Wall Street Journal, Wired, NPR Tech Nation, NBC Bay Area, CNBC, WYNC, WBBR Bloomberg Radio, NBC Think, Silicon Valley Insider, Motley Fool, Scientific American, Forbes, MarketWatch, MoneyCentral.msn, NewsWeek, Fast Company, The Economist, MindMatters, OZY, Slate, and BusinessWeek.

Table of Contents

Introduction 1. Present Value 2. The Term Structure 3. Amortized Loans 4. Bonds 5. Stock Exchanges 6. Dividend-Discount Models 7. Earnings and Assets 8. Real Assets 9. Conservation of Value 10. Technical Analysis 11. The Efficient-Market Hypothesis 12. The Human Factor in Investments 13. Mean-Variance Analysis 14. CAPM and Other Factor Models 15. Derivatives 16. Miscellaneous 17. Longer Exercises

From the B&N Reads Blog

Customer Reviews