Frank J. Fabozzi is an Adjunct Professor of Finance at the School of Management at Yale University arid editor of the Journal of Portfolio Management. From 1986 to 1992, he was a full-time member of the Finance faculty at the Sloan School of Management at MIT. Dr. Fabozzi has authored and edited several widely acclaimed books in finance. He is on the board of directors of the B1ackRock complex of closed-end funds and the Guardian Park Avenue Portfolio family of open-end funds. He earned a doctorate in economics in 19'72 from The Graduate Center of the City University of New York and is a Chartered Financial Analyst. In 1994, he was awarded an honorary doctorate of Humane Letters from NOVA Southeastern University.
A comprehensive exploration of the world's financial markets and institutions. Introduction; Financial Institutions, Financial Intermediaries, and Asset Management Firms; Depository Institutions: Activities and Characteristics; The U.S. Federal Reserve and the Creation of Money; Monetary Policy in the United States; Insurance Companies; Investment Companies and Exchange-Traded Funds; Pension Funds; Properties and Pricing of Financial Assets; The Level and Structure of Interest Rates; The Term Structure of Interest Rates; Risk/Return and Asset Pricing Models; Primary Markets and the Underwriting of Securities; Secondary Markets; Treasury and Agency Securities Markets; Municipal Securities Markets; Markets for Common Stock: The Basic Characteristics; Markets for Common Stock: Structure and Organization; Markets for Corporate Senior Instruments: I; Markets for Corporate Senior Instruments: II; The Markets for Bank Obligations; The Residential Mortgage Market; Residential Mortgage-Backed Securities Market; Market for Commercial Mortgage Loans and Commercial Mortgage-Backed Securities; Market for Asset-Backed Securities; Financial Futures Markets; Options Markets; Pricing of Futures and Options Contracts; The Applications of Futures and Options Contracts; OTC Interest Rate Derivatives: Forward Rate Agreements, Swaps, Caps, and Floors; Market for Credit Risk Transfer Vehicles: Credit Derivatives and Collateralized Debt Obligations; The Market for Foreign Exchange and Risk Control Instruments MARKET : Foundations of Financial Markets and Institutions , offers a comprehensive exploration of the revolutionary developments occurring in the world's financial markets and institutions –i.e., innovation, globalization, and deregulation–with a focus on the actual practices of financial institutions, investors, and financial instruments.
我也是泛泛的读,因为读的是英文版。所以速度是个问题,主要是找对金融语言的感觉。我个人觉得,这本书细节覆盖很全面,detail 很多。看完 会有很基本的认识。一遍肯定是不够的,要持续一年半载的翻阅。其实是适合做参考书的。觉得 有意思的是 part 4, 讲 risk/ Return and Ass...
评分刚刚看了YALE的公开课,关于FINANCIAL MARKETS 教师是Robert J. Shiller教授 他推荐了这本书,并且一再的提示是由Frank J. Fabozzi, Franco P. Modigliani, Frank J. Jones等人编著的此书 他指出,此书对FINANCIAL MARKETS的讲解非常全面,且含有他所有不知道,不明白的一些细...
评分书不厚但是作为一个完全的金融外行来说我觉得啃掉他至少需要半年时间。 刚刚看完引论觉得浅显易懂,每章节前后都有引导和总结,十分适合入门。 我把读书笔记写在了下面的网页上 http://www.imwanderer.net/index.php/creditservice/20-financialmarkets 会一边读书一边更新。 ...
评分作为一个外行人,囫囵吞枣的看完了,耶鲁大学开放课里指明的教材。 每章有提纲、有重点、有习题,好像网上还有习题集卖,不过我没买。 此书作为一个外行上手阅读的话前面一大半看看还是没有问题的,就是最后两章感觉专业性太强不易理解(也可能是前面我看的不仔细导致的)。 要...
评分我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推荐我推...
2011-11-20 I bought this book after listening to the free online course by Yale with Robert Shiller and now use it for self-studying. Despite what other comments say, the text is not difficult for understanding. Though English is my second language, I found it quite easy to read and comprehend. The hardcover edition is fine.
评分相信好多朋友都是因为看了耶鲁开放课程fianncial markets 所以来找这本书 东北财经大学有相关翻译本,但是原版写的很好,很具体,很流畅。 我没有看完,因为确实很厚,但是可以作为课堂辅助材料,的确像Yale那个教授说得那样,它告诉你细节,告诉你解决迷惑之道,为你打好坚实的基础。
评分I teared when reading the dedication to Prof. Modigliani.
评分太基础不适合用作教材
评分master教材
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