
Solutions Manual for Financial Economics
Oxford University Press
Published on 7. February 2002
Book
Paperback/Softback
186 pages
978-0-19-924260-3 (ISBN)
Description
Financial Economics is an exciting new field of study that integrates the theory of finance and financial institutions into the main body of economic theory. Eichberger and Harper's successful textbook, Financial Economics, provides a self-contained and comprehensive introduction to the field for advanced undergraduate and postgraduate economists and finance specialists.
This Solutions Manual provides worked solutions to all the exercises in Financial Economics, organized according to the chapters in the original textbook. Each chapter has a short preface explaining its contents and objectives.
The manual will prove an invaluable tool for both students and teachers of financial economics, and may be used as a self-contained problem-and-answer text as well as an accompaniment to Financial Economics.
This Solutions Manual provides worked solutions to all the exercises in Financial Economics, organized according to the chapters in the original textbook. Each chapter has a short preface explaining its contents and objectives.
The manual will prove an invaluable tool for both students and teachers of financial economics, and may be used as a self-contained problem-and-answer text as well as an accompaniment to Financial Economics.
More details
Language
English
Place of publication
Oxford
United Kingdom
Target group
Professional and scholarly
Illustrations
numerous figures
Dimensions
Height: 233 mm
Width: 156 mm
Thickness: 11 mm
Weight
275 gr
ISBN-13
978-0-19-924260-3 (9780199242603)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Persons
Juergen Eichberger is Professor at Heidelberg University.; Ian R. Harper is Professorial Fellow at the Melbourne Business School, University of Melbourne.; Christian Pfeil is Economic Consultant to the Government of Saarland, Germany.; Florian Scheid is Assistant Professor at the University of Saarland.
Author
, University of Heidelberg
, University of Melbourne
, Government of Saarland, Germany
, University of Saarland
Content
Introduction ; 1. Decision-Making under Uncertainty ; 2. Portfolio Choice ; 3. Systems of Financial Markets ; 4. Arbitrage and Option Pricing ; 5. Firms and Financial Markets ; 6. Debt Contracts and Credit Rationing ; 7. Deposit Contracts and Banking ; 8. Regulation of Banks