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00431nam ac200169 k 4500
000003583991
20220101120000
ta
010731s1993 US 000 eng
▼a 211070
▼c 211070
▼l WM0003027782
▼a HG4529.5
▼a HG4529.5
▼b T48
▼a PORTFOLIO THEORY AND THE DEMAND FOR MONEY/
▼d THOMPSON,NEIL
▼a LONDON:
▼b ST.MARTIN'S,
▼c 1993.
▼a 212p.
▼a THOMPSON,NEIL
▼a 단행본
| 자료유형 : | 단행본 |
|---|---|
| 분류기호 : | HG4529.5 |
| 서명/저자사항 : | PORTFOLIO THEORY AND THE DEMAND FOR MONEY/ THOMPSON,NEIL |
| 발행사항 : | LONDON: ST.MARTIN'S, 1993. |
| 형태사항 : | 212p. |
| 개인저자 : | THOMPSON,NEIL |
| 언어 | 영어 |
WMO199927523
권 호 : 212
발행년 : 1993
서 명 : PORTFOLIO THEORY AND THE DEMAND FOR MONEY
발행처 : THOMPSON,NEIL
목차
1. AN INTRODUCTION TO PORTFOLIO ANALYSIS
2. THE MEAN-VARIANCE APPROACH
3. TRANSACTIONS AND PRECAUTIONARY DEMAND MODELS
4. MIXED MODELS AND THE GENERAL UTILITY APPROACH
5. THE EMPIRICAL DEMAND FOR MONEY FUNCTION
6. STABILITY AND THE DEMAND FOR MONEY FUNCTION
7. DISEQUILIBRIUM MONEY AND BUFFER STOCK MODELS
8. BANK LENDING EQUATIONS
9. THE DEMAND FOR LONG-TERM GOVERNMENT SECURITIES
10. MULTI-ASSET PORTFOLIO MODELS
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