000 01024nam a2200193Ia 4500
008 140223b2010 xxu||||| |||| 00| 0 eng d
020 _a9780521263306
_c0.00
082 _a338.542
_bVOG
100 _aVogel, Harold L.
245 _aFinancial Market: Bubbles and Crashes
260 _aNew Delhi
_bCambridge University Press
_c2010
300 _a385p
500 _aPart I. Background for Analysis: 1. Introduction 2. Bubble stories 3. Random walks 4. Bubble theories 5. Framework for investigation Part II. Empirical Features and Results: 6. Bubble basics 7. Bubble dynamics 8. Money and credit features 9. Behavioral risk features 10. Crashes, panics, and chaos 11. Financial asset bubble theory.
600 _aCapital Market - India
600 _aCommercial Crimes
600 _aFinancial Crises
890 _aIndia
995 _AVOG
_B010623
_CMGT-FIN
_D333.00
_E0
_F049
_GIN839
_H0
_I0.00
_J450.00 26% MM - MM
_L20120329
_UC
_W20121015
_XKushal Books
_ZGeneral
999 _c63042
_d63042