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Quantitative Finance: Corporate Finance And Investments

Inbunden, Engelska, 2026

AvJohn B Guerard Jr

1 619 kr

Kommande


This monograph aims to educate and inspire advanced undergraduate and MBA students to consider quantitative finance as a career path. The risk-return tradeoff articulated by Harry Markowitz and William Sharpe applies not only to stocks and portfolios, but also to career decisions. As a result, coursework in Financial Engineering, Investments, and Corporate Finance can substantially enhance lifetime earnings. The financial and statistical techniques introduced in this monograph—such as optimization, regression, and time-series analysis—are highly rewarded in today's marketplace, where industry seeks intelligent, diligent, and professional candidates with strong academic performance. Using robust-regression-based stock selection models, this monograph estimates and analyzes the resulting Efficient Frontiers over the 1997-2020 period using the WRDS database, and over the 1997-2022 period using commercially available databases. These applied methodologies are highly valued by leading financial institutions.

Produktinformation

  • Utgivningsdatum2026-09-14
  • Mått152 x 229 x undefined mm
  • Vikt343 g
  • FormatInbunden
  • SpråkEngelska
  • SerieWorld Scientific Series in Finance
  • FörlagWorld Scientific Publishing Co Pte Ltd
  • ISBN9789819831074

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