请问23456789 发表于 2024-3-25 20:09 
Intermediate Financial Theory 3rd Edition by Jean-Pierre Danthine!!
Intermediate Financial Theory is intended primarily for master level students with a
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professional orientation, a good quantitative background, and who have completed at least
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one introductory finance course (or have read the corresponding text). As such, the book is
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targeted especially for masters students in finance, while remaining accessible and
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appropriate for an advanced MBA class in financial economics, one with the objective of
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introducing students to the precise modeling of many of the concepts discussed in their
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capital markets and corporate finance classes. In addition, we believe the book can be a
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useful reference for doctoral candidates in finance, particularly those whose lack of prior
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background might prevent them from drawing the full benefits of the very abstract material
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typically covered at that level. Finally, we hope it will be a useful refresher for well-trained
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practitioners. Although the mathematical requirements of the book are not great, some
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confidence in the use of calculus as well as matrix algebra is helpful.