Financial markets

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FABOZZI, Franck J.; MODIGLIANI, Franco; JONES, Frank Joseph. Foundations of financial markets and institutions. 4th ed. New York: Pearson, 2010.
Financial markets Bibliography of course books

AGLIETTA, Michel; RIGOT, Sandra. Crise et rénovation de la finance. Paris: Odile Jacob, 2009. (Economie) Code: 2-1041 AGL 11 copies including 2 for reference only

BAIN, Keith; HOWELLS, Peter. Monetary economics: policy and its theoretical basis. 2nd ed. Basingstoke: Palgrave Macmillan, 2009 Code: 5-311 BAI 8 copies including 2 for reference only

BODIE, Zvi; KANE, Alex; MARCUS, Alan J. Investments. 10th ed. Boston: McGraw-Hill, 2014. (The McGraw-Hill/Irwin series in finance, insurance, and real estate) Code: 5-712 BOD 14 copies including 2 for reference only

CALVET, Laurent, FISHER, Adlai. Multifractal volatility: theory, forecasting and pricing. Burlington : Academic press, 2008. Code : 5-71 CAL 7 copies including 2 for reference only Available in E-book version

FABOZZI, Franck J.; MODIGLIANI, Franco; JONES, Frank Joseph. Foundations of financial markets and institutions. 4th ed. New York: Pearson, 2010. Code: 5-71 FAB 10 copies including 2 for reference only

FELSENHEIMER, Jochen; GISDAKIS, Philip. Credit crises: From tainted loans to a global economic meltdown. New-York: Wiley, 2008. Code: 2-1041 FEL 10 copies including 2 for reference only

HEC Library – Updated: October 2014 Contact: [email protected], 01 39 67 94 78

FOUCAULT, Thierry ; PAGANO, Marco ; ROELL, Ailsa. Market liquidity: theory, evidence, and policy. New York : Oxford university press, 2013 Code : 5-7 FOU 10 copies including 2 for reference only

GEMAN, Hélyette. Commodities and commodity derivatives: Modelling and pricing for agriculturals, metals and energy. Chichester: Wiley, 2005 (Wiley Finance) Code: 5-713 GEM 10 copies including 2 for reference only Available in E-book version

GRINBLATT, Mark; TITMAN, Sheridan. Financial markets and corporate strategy. 2th ed. Boston : McGraw Hill, 2001 Code: 5-7 GRI 11 copies including 2 for reference only HARRIS, Larry. Trading and exchanges : Market microstructure for practitioners. Oxford: Oxford University Press, 2002 Code: 5-71 HAR 12 copies including 2 for reference only

HULL, John. Options, futures et autres actifs dérivés. 9th ed. Paris: Pearson Education, 2014 Code: 5-712 HUL 10 copies including 2 for reference only HULL, John. Options, futures, and other derivatives. 8th ed. Upper Saddle River: Prentice Hall , 2011 Code: 5-712 HUL 12 copies including 2 for reference only JACQUILLAT, Bertrand; SOLNIK, Bruno ; PERIGNON, Christophe. Les marchés financiers: Gestion de portefeuille et des risques. 6 th ed. Paris : Dunod, 2014. Code: 5-71 JAC 12 copies including 2 for reference only JARROW, Robert A. : CHATTERJEA, Arkadev. An introduction to derivatives securities, financial markets and risk management. New York : W. W. Norton, 2013. Cote : 5-71 JAR 13 copies including 2 for reference only SOLNIK, Bruno; MCLEAVEY, Dennis. Global investments. 6th ed. New-York: Pearson, 2008. Code: 5-3131 SOL 19 copies including 2 for reference only WILMOTT, Paul. Paul Wilmott introduces quantitative finance. 2nd ed. Chichester: Wiley, 2007. Code: 5-712 WIL 8 copies including 2 for reference only HEC Library – Updated: October 2014 Contact: [email protected], 01 39 67 94 78