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Results of search for 'su:"Capital assets pricing model"'
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Authors
Altug, Sumru
Benninga, Simon
Constantinides, Geor...
Da Silva, Luis Corre...
Franks, Julian R
Guiso, Luigi
Haliassos, Michael
Hens, Thorsten
Jappelli, Tullio
Kariya, Takeaki
Külpmann, Mathias
Labadie, Pamela
Mayer, C. P
Milne, Frank
Moix, Pierre-Yves
Pennacchi, George Ga...
Poon, Ser-Huang
Roman, Steven
Schenk-Hoppe', Klaus...
Stulz, René M
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Asset-liability mana...
Capital assets prici...
Corporations - Finan...
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Financial futures--M...
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Investment advisors
Investments - Mathem...
Options (Finance) - ...
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Your search returned 24 results.
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1.
Principles of finance with Excel
Simon Benninga
by
Benninga, Simon
Publication details:
Oxford
Oxford University Press
2006
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332/0285 BEN
.
2.
Theory of asset pricing
George Pennacchi
by
Pennacchi, George Gaetano
Publication details:
Boston, MA
Addison Wesley
c2007
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.632042 PEN
.
3.
Handbook of financial markets : dynamics and evolution
edited by Thorsten Hens and Klaus Reiner Schenk-Hoppe
by
Hens, Thorsten
Schenk-Hoppe', Klaus Reiner
Publication details:
Amsterdam
North Holland
2009
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6015 HEN
.
4.
Household portfolios
edited by Luigi Guiso, Michael Haliassos, and Tullio Jappelli
by
Guiso, Luigi
Haliassos, Michael
Jappelli, Tullio
Conference on Household Portfolios (1999 : Florence, Italy)
Publication details:
Cambridge, MA
MIT Press
c2002
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6 GUI
.
5.
Introduction to the mathematics of finance : from risk management to options pricing
Steven Roman
by
Roman, Steven
Publication details:
Berlin
Springer
2004
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.01513 ROM
.
6.
Irrational exuberance reconsidered : the cross section of stock returns
Mathias Külpmann
by
Külpmann, Mathias
Edition:
2nd ed
Publication details:
Berlin
Springer
c2004
Availability:
No items available.
7.
Handbook of the economics of finance
edited by George M. Constantinides, Milton Harris, and René M. Stulz
by
Constantinides, George M
Harris, Milton
Stulz, René M
Edition:
1st ed
Publication details:
Amsterdam ; Boston
Elsevier/North-Holland
2003
Availability:
Items available for loan:
Anna Centenary Library
(3)
Call number:
332 CON.1B, ..
.
8.
Asset management and investor protection : an international analysis
Julian Franks, Colin Mayer, and Luis Correia da Silva
by
Franks, Julian R
Da Silva, Luis Correia
Mayer, C. P
Publication details:
Oxford
Oxford University Press
2003
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6 FRA
.
9.
Asset management and investor protection : an international analysis
Julian Franks, Colin Mayer, and Luis Correia da Silva
by
Franks, Julian R
Da Silva, Luis Correia
Mayer, C. P
Publication details:
Oxford
Oxford University Press
2004
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6 FRA
.
10.
Asset pricing for dynamic economies
Sumru Altug and Pamela Labadie
by
Altug, Sumru
Labadie, Pamela
Publication details:
Cambridge
Cambridge University Press
2008
Availability:
Items available for loan:
Anna Centenary Library
(2)
Call number:
332.6 ALT, ..
.
11.
Asset pricing for dynamic economies
Sumru Altug and Pamela Labadie
by
Altug, Sumru
Labadie, Pamela
Publication details:
Cambridge
Cambridge University Press
2008
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6 ALT
.
12.
Finance theory and asset pricing
Frank Milne
by
Milne, Frank
Edition:
2nd ed
Publication details:
Oxford
Oxford University Press
2003
Availability:
Not available:
Anna Centenary Library: Checked out
(1).
13.
Finance theory and asset pricing
Frank Milne
by
Milne, Frank
Edition:
2nd ed
Publication details:
Oxford
Oxford University Press
2003
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332 MIL
.
14.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6015118 MOI
.
15.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
No items available.
16.
Advances in quantitative asset management
edited by Christian L. Dunis
by
Dunis, Christian
Publication details:
Boston
Kluwer Academic Publishers
2000
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.6 DUN
.
17.
Asset pricing : discrete time approach
by Takeaki Kariya, Regina Y. Liu
by
Kariya, Takeaki
Liu, Regina Y
Publication details:
Boston
Kluwer Academic Publishers
2003
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.632 KAR
.
18.
No cover image available
Asset pricing in discrete time : a complete markets approach
Ser-Huang Poon and Richard C. Stapleton
by
Poon, Ser-Huang
Stapleton, Richard C
Publication details:
Oxford
Oxford University Press
2005
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
HG4636 .P66 2005 332.6
.
19.
Asset pricing theory and tests
edited by Robert R. Grauer
by
Grauer, Robert R
Publication details:
Cheltenham, UK ; Northamption, MA
Edward Elgar Pub
2003
Availability:
Items available for loan:
Anna Centenary Library
(2)
Call number:
332.6 GAR.1, ..
.
20.
Asset pricing under asymmetric information : bubbles, crashes, technical analysis, and herding
Markus K. Brunnermeier
by
Brunnermeier, Markus Konrad
Publication details:
Oxford
Oxford University Press
c2001
Availability:
Items available for loan:
Anna Centenary Library
(1)
Call number:
332.63 BRU
.
21.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
No items available.
22.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
No items available.
23.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
No items available.
24.
The measurement of market risk : modelling of risk factors, asset pricing, and approximation of portfolio distributions
Pierre-Yves Moix
by
Moix, Pierre-Yves
Publication details:
Berlin
Springer
c2001
Availability:
No items available.
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