Finance: A Characteristics Approach

Finance: A Characteristics Approach

by David Blake
     
 

ISBN-10: 0415212901

ISBN-13: 9780415212908

Pub. Date: 06/28/2000

Publisher: Taylor & Francis

Since the 1980s, the characteristics model in economics has been applied to the field of finance, and offers a fresh perspective for understanding financial behaviour. This book brings together some of the latest research by leading exponents of the characteristics model and its application to finance.  See more details below

Overview

Since the 1980s, the characteristics model in economics has been applied to the field of finance, and offers a fresh perspective for understanding financial behaviour. This book brings together some of the latest research by leading exponents of the characteristics model and its application to finance.

Product Details

ISBN-13:
9780415212908
Publisher:
Taylor & Francis
Publication date:
06/28/2000
Series:
Routledge International Studies in Money and Banking Series, #7
Pages:
144
Product dimensions:
5.60(w) x 8.60(h) x 0.70(d)
Lexile:
1430L (what's this?)

Table of Contents

List of figures
List of tables
List of contributors
1Introduction1
2Portfolio behaviour and asset pricing in a characteristics framework12
3Financial intermediation and financial innovation in a characteristics framework35
4A characteristics definition of financial markets56
5The computation of interest equivalences for the nonprice characteristics of bank products83
6A characteristics analysis of financial innovations in short-term retail financial products96
7Postscript127
Index129

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