Modelling Reality and Personal Modelling

Author:   Richard Flavell
Publisher:   Springer-Verlag Berlin and Heidelberg GmbH & Co. KG
Edition:   1993 ed.
ISBN:  

9783790806823


Pages:   407
Publication Date:   27 May 1993
Format:   Paperback
Availability:   Out of stock   Availability explained
The supplier is temporarily out of stock of this item. It will be ordered for you on backorder and shipped when it becomes available.

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Modelling Reality and Personal Modelling


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Author:   Richard Flavell
Publisher:   Springer-Verlag Berlin and Heidelberg GmbH & Co. KG
Imprint:   Physica-Verlag GmbH & Co
Edition:   1993 ed.
Dimensions:   Width: 15.50cm , Height: 2.20cm , Length: 23.50cm
Weight:   0.645kg
ISBN:  

9783790806823


ISBN 10:   379080682
Pages:   407
Publication Date:   27 May 1993
Audience:   College/higher education ,  Professional and scholarly ,  Postgraduate, Research & Scholarly ,  Professional & Vocational
Format:   Paperback
Publisher's Status:   Active
Availability:   Out of stock   Availability explained
The supplier is temporarily out of stock of this item. It will be ordered for you on backorder and shipped when it becomes available.

Table of Contents

Modelling Reality.- Economic Policy Determinants: Sensitivity Testing Based on the Mahalanobis Distance Statistic.- Time Dominance and I.R.R..- Linear Gears for Asset Pricing.- Stochastic Behaviour of European Stock Market Indices.- Measuring Firm/Market Information Asymmetry: The Model of Myers and Majluf or the Importance of the Asset Structure of the Firm.- The Construction of Smoothed Forward Rates.- An Index of De-stability for Controlling Shareholders.- On Imitation.- Financial Factors and the Dutch Stock Market: Some Empirical Results.- A Present Value Approach to the Portfolio Selection Problem.- Discounting When Taxes are Paid One Year Later: A Finance Application of Linear Programming Duality.- The Asset Transformation Function of Financial Intermediaries.- Management of the Interest Rate Swaps Portfolio Under the New Capital Adequacy Guidelines.- Developing a Multinational Index Fund.- Directional Judgemental Financial Forecasting: Trends and Random Walks.- Forecasting the Behaviour of Bankruptcies.- Theoretical Analysis of the Difference Between the Traditional and the Annuity Stream Principles Applied to Inventory Evaluation.- A Micro-Simulation Model for Pension Funds.- Asset Allocation and the Investor's Relative Risk Aversion.- Financing Behaviour of Small Retailing Firms.- Computing Price Paths of Mortgage-Backed Securities Using Massively Parallel Computing.

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