The Equity Risk Premium by Bradford Cornell

The Equity Risk Premium by Bradford Cornell

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The Equity Risk Premium by Bradford Cornell

The Equity Risk Premium-the difference between the rate of return on common stock and the return on government securities-has been widely recognized as the key to forecasting future returns on the stock market.
BRADFORD CORNELL is President of FinEcon Financial Economic Consulting and Professor of Finance at the Anderson Graduate School of Management at UCLA. A frequent contributor to professional and academic journals, his writing has also appeared in the Wall Street Journal and the Los Angeles Times. "An understanding of the equity risk premium is important for informed financial decision making. Cornell's book does an excellent job tying together historical, empirical, and theoretical analysis of the premium in a package accessible to practitioners as well as academics." -Eugene F. Fama, Robert R. McCormick Distinguished Service Professor of Finance, University of Chicago.
SKU Unavailable
ISBN 13 9780471327356
ISBN 10 0471327352
Title The Equity Risk Premium
Author Bradford Cornell
Series Frontiers In Finance Series
Condition Unavailable
Binding Type Hardback
Publisher John Wiley & Sons Inc
Year published 1999-06-17
Number of pages 240
Cover note Book picture is for illustrative purposes only, actual binding, cover or edition may vary.