点击切换搜索课件文库搜索结果(674)
文档格式:DOC 文档大小:92.5KB 文档页数:25
导言 经济分析的理论基础 第一讲 市场与政府 第二讲 外部效应 第三讲 公共物品 第四讲 自然垄断 第五讲 收入分配 第六讲 公共选择 第七讲 公共支出 第八讲 公共收入 第九讲 宏观经济 第十讲 政府作用的限度
文档格式:PPT 文档大小:625.5KB 文档页数:154
• Introduction • The welfare economics of market power • Profit Maximization • Perfect Competition • Efficiency • Market Power • Market Power and Public Policy • Theory of the firm • Neoclassical theory of the firm • Why do firms exists? • Limits to firm size • Do firms profit maximize? • Summary
文档格式:PPT 文档大小:664.5KB 文档页数:44
14.1 Distinction Between Forward & Futures Contracts 14.2 The Economic Function of Futures Markets 14.3 The Role of Speculators 14.4 Relation Between Commodity Spot & Futures Prices 14.5 Extracting Information from Commodity Futures Prices 14.6 Forward-Spot Price Parity for Gold 14.7 Financial Futures 14.8 The “Implied” Riskless Rate 14.9 The Forward Price is not a Forecast of the Spot Price 14.10 Forward-Spot Price- Parity with Cash Payouts 14.11 “Implied” Dividends 14.12 The Foreign-Exchange Parity Relation 14.13 The Role of Expectations in Determining Exchange Rates
文档格式:PPT 文档大小:1.02MB 文档页数:37
 12.1 The process of personal portfolio selection  12.2 The trade-off between expected return and risk  12.3 Efficient diversification with many risky assets
文档格式:PPT 文档大小:876.5KB 文档页数:51
10.1 What is Risk? 10.2 Risk and Economic Decisions 10.3 The Risk-Management Process 10.4 The Three Dimensions of Risk Transfer 10.5 Risk Transfer and Economic Efficiency 10.6 Institutions for Risk Management 10.7 Portfolio Theory: Quantitative Analysis for Optimal Risk Management 10.8 Probability Distributions of Returns 10.9 Standard Deviation as a Measure of Risk
文档格式:PDF 文档大小:683.53KB 文档页数:60
9.1 Reading stock listings 9.2 The discounted dividend model 9.3 Earning and investment opportunity 9.4 A reconsideration of the price/earnings multiple approach 9.5 Does dividend policy affect shareholder wealth?
文档格式:PPT 文档大小:651KB 文档页数:49
 7.1 The relationship between an asset’s value & its price  7.2 Value maximization & financial decisions  7.3 The law of one price & arbitrage  7.4 Arbitrage & the law of one price  7.5 Interest rates & the law of one price  7.6 Exchange rates & triangular arbitrage  7.7 Valuation using comparables  7.8 Valuation Models  7.9 Accounting measures of value  7.10 How information is reflected in security prices  7.11 The efficient markets hypothesis
文档格式:PPT 文档大小:505KB 文档页数:28
 5.2 Taking Account of Social Security  5.3 Deferring Taxes through Voluntary Retirement Plans  5.4 Should you Invest in a Professional Degree?  5.5 Should you Buy or Rent?
文档格式:PPT 文档大小:1.32MB 文档页数:75
 3.1 Functions of Financial Statements  3.2 Review of Financial Statement  3.3 Market values v. Book Values  3.4 Accounting v. Economic Measures of Income  3.5 Return on Shareholders v. Return on Book Equity  3.6 Analysis Using Financial Ratios  3.7 The Financial Planning Process  3.8 Constructing a Financial Planning Model  3.9 Growth & the Need for External Financing  3.10 Working Capital Mgmt.  3.11 Liquidity & Cash Mgmt
文档格式:PDF 文档大小:145.42KB 文档页数:4
上海交通大学:《金融学原理》课程教学资源(练习与答案)Chapter One Financial Economics
首页上页3940414243444546下页末页
热门关键字
搜索一下,找到相关课件或文库资源 674 个  
©2008-现在 cucdc.com 高等教育资讯网 版权所有