QUANTITATIVE FINANCE: CORPORATE FINANCE AND INVESTMENTS

John B Guerard author

Format:Hardback

Publisher:World Scientific Publishing Co Pte Ltd

Publishing:29th Oct '26

£90.00

This title is due to be published on 29th October, and will be despatched as soon as possible.

QUANTITATIVE FINANCE: CORPORATE FINANCE AND INVESTMENTS cover

This monograph aims to educate and inspire advanced undergraduate and MBA students to consider quantitative finance as a career path. The risk–return tradeoff articulated by Harry Markowitz and William Sharpe applies not only to stocks and portfolios, but also to career decisions. As a result, coursework in Financial Engineering, Investments, and Corporate Finance can substantially enhance lifetime earnings. The financial and statistical techniques introduced in this monograph—such as optimization, regression, and time-series analysis—are highly rewarded in today's marketplace, where industry seeks intelligent, diligent, and professional candidates with strong academic performance. Using robust-regression-based stock selection models, this monograph estimates and analyzes the resulting Efficient Frontiers over the 1997–2020 period using the WRDS database, and over the 1997–2022 period using commercially available databases. These applied methodologies are highly valued by leading financial institutions.

ISBN: 9789819831074

Dimensions: unknown

Weight: unknown