Hundreds of engaging, class-tested finance exercises (and detailed solutions) that test student understanding of the material. Many are educational in their own right—for example, delaying social security benefits does not give a safe 8% real return; the correlation between bond and stock returns is not stable, and most measures of company performance regress toward the mean.
ISBN: | 9781041048381 |
Publication date: | 1st September 2025 |
Author: | Gary Smith |
Publisher: | Chapman & Hall/CRC an imprint of CRC Press |
Format: | Hardback |
Pagination: | 280 pages |
Genres: |
Finance and accounting Probability and statistics Econometrics and economic statistics |