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Darrell Duffie

Darrell DuffieDarrell Duffie is the James Irvin Miller Professor of Finance at the Graduate School of Business, Stanford University. He teaches and does research in the area of asset valuation, risk management, credit risk modeling, and fixed-income and equty markets. His other books include Security Markets: Stochastic Models and Futures Markets. Read More Read Less

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1.
Dynamic Asset Pricing Theory44 % NR
4.4 (5)
₹12,610
₹7,062
Binding:
Hardback
Release:
21 Oct 2001
Language:
English
International Edition
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3.
Credit Risk31 %
No Review Yet
₹11,050
₹7,625
Binding:
Hardback
Release:
26 Jan 2003
Language:
English
Available
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4.
The Handbook of China's Financial System31 %
No Review Yet
₹8,450
₹5,831
Binding:
Hardback
Release:
17 Nov 2020
Language:
English
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5.
Measuring Corporate Default Risk
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₹5,431
Binding:
Hardback
Release:
23 Jun 2011
Language:
English
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6.
Measuring Corporate Default RiskNR
No Review Yet
₹3,553
Binding:
Paperback
Release:
22 Sep 2022
Language:
English
International Edition
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7.
Dark Markets31 %
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₹4,700
₹3,243
Binding:
Hardback
Release:
01 Aug 2012
Language:
English
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8.
Mathematical Finance37 %
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₹17,099
₹10,772
Binding:
Hardback
Release:
13 Apr 1995
Language:
English
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9.
How Big Banks Fail and What to Do about It31 %
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₹3,750
₹2,588
Binding:
Hardback
Release:
11 Jul 2010
Language:
English
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10.
Mathematical Finance37 %
No Review Yet
₹17,099
₹10,772
Binding:
Paperback
Release:
12 Mar 2010
Language:
English
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11.
Multiperiod Securities Markets With Differential Information12 % NR
No Review Yet
₹1,440
₹1,267
Binding:
Paperback
Release:
18 Jul 2023
Language:
English
International Edition
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12.
Multiperiod Securities Markets With Differential Information2 % NR
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₹2,601
₹2,549
Binding:
Hardback
Release:
18 Jul 2023
Language:
English
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13.
Fragmenting Markets57 % NR
Publisher: De Gruyter
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₹6,838
₹2,940
Binding:
Hardback
Release:
11 Jul 2022
Language:
English
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14.
Security Markets54 % NR
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₹15,811
₹7,273
Binding:
Hardback
Release:
28 Jul 1988
Language:
English
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15.
Futures MarketsNR
Publisher: Longman
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₹1,831
Binding:
Paperback
Release:
/07/1989
Out of Stock
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17.
Credit Risk Pricing, Measurement and Management40 %
5.0 (2)
₹295
₹177
Binding:
Paperback
Release:
01 Dec 2008
Language:
English
Out of Stock
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18.
Fragmenting Markets
Publisher: De Gruyter
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₹6,389
Binding:
Digital (delivered electronically)
Release:
07 Nov 2022
Language:
English
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19.
Fragmenting Markets
Publisher: De Gruyter
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₹5,437
Binding:
Digital (delivered electronically)
Release:
07 Nov 2022
Language:
English
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20.
The Handbook of China's Financial System
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₹8,928
Binding:
Digital (delivered electronically)
Release:
17 Nov 2020
Language:
English
Out of Stock
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