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The Return Generating Models in Global Finance

Bear, Robert M.(Edited by)Dandapani, Krishnan(Edited by)Prakash, Arun J.(Edited by)
Part of the Series in International Business and Economics series
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The market model, introduced over thirty years ago, is one of the most studied and utilized return generating models in finance.

Over three decades, it has withstood rigorous testing and, with refinements over the years, remains the standard of reference today, being applied to almost all existing global investment opportunities.

The resulting literature is prolific, and the aim of this book is to consolidate the most important literature on the market model, focusing especially on recent research involving issues related to the model.

The market model is analysed in detail and its characteristics discussed, criticisms presented and possible shortcomings tested.

The book also presents a guide to the various applications of the model, as well as a discussion of other types of model, their forecasting power and their relationship with the market model.

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£67.14 Save 15.00%
RRP £78.99
Product Details
Pergamon Press
0080430589 / 9780080430584
Hardback
332.678
18/02/1999
United Kingdom
English
220p.
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