Description
Author: Andrew Ang
Publisher: Oxford University Press, USA
Published: 08/06/2014
Pages: 720
Binding Type: Hardcover
Weight: 2.55lbs
Size: 9.30h x 6.20w x 1.70d
ISBN13: 9780199959327
ISBN10: 0199959323
BISAC Categories:
- Business & Economics | Investments & Securities | General
- Business & Economics | Management | General
- Business & Economics | Finance | General
About the Author
Andrew Ang is the Ann F. Kaplan Professor of Business at Columbia Business School. He is a financial economist whose work centers on understanding the nature of risk and return in asset prices. His work spans bond markets, equities, asset management and portfolio allocation, and alternative investments. Prof. Ang has served as associate editor for several leading journals, and he has received grants from various government and industry organizations. He has consulted for several financial institutions, most often the Norwegian sovereign wealth fund. Prof. Ang received a Bachelor of Economics with First Class Honours from Macquarie University, Sydney, and a Masters of Statistics and PhD in Finance from Stanford University.