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by Frank J. Fabozzi, Franco Modigliani, Michael G. Ferri · Prentice-Hall · tapa dura · 93 pages
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Este libro ofrece una exploración exhaustiva de los desarrollos revolucionarios que están ocurriendo en los mercados e instituciones financieras del mundo, como la innovación, la globalización y la desregulación, con un enfoque en las prácticas reales de las instituciones financieras, los inversores y los instrumentos financieros. Se ofrece una cobertura extensa de los mercados de valores derivados y de las instituciones de depósito.

Frank J. Fabozzi is an American economist, educator, writer, and investor, currently Professor of Practice at The Johns Hopkins University Carey Business School and a Member of Edhec Risk Institute. He was previously a professor of finance at EDHEC Business School, Professor in the Practice of Finance and Becton Fellow in the Yale School of Management, and a visiting professor of finance at the Sloan School of Management at the Massachusetts Institute of Technology. He has authored and edited many books, three of which were coauthored with Nobel laureates, Franco Modigliani and Harry Markowitz. He has been the editor of the Journal of Portfolio Management since 1986 and is on the board of directors of the BlackRock complex of closed-end funds.