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Stephen Satchell

Stephen SatchellStephen Satchell is a Fellow of Trinity College, the Reader in Financial Econometrics at the University of Cambridge and Visiting Professor at Birkbeck College, City University Business School and University of Technology, Sydney. He provides consulancy for a range of city institutions in the broad area of quantitative finance. He has published papers in many journals and has a particular interest in risk. Read More Read Less

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1.
How to Invest28 % NR
Publisher: Profile Books Ltd
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03 Feb 2023
Language:
English
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2.
Collectible Investments for the High Net Worth InvestorNR
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₹9,175
Binding:
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Release:
07 Jul 2009
Language:
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Market Momentum45 % NR
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12 Oct 2020
Language:
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4.
Asymmetric Dependence in Finance6 % NR
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Release:
06 Dec 2018
Language:
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5.
Linear Factor Models in Finance
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₹3,755
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01 Jan 1900
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English
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6.
How to Invest33 %
Publisher: Profile Books Ltd
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14 May 2026
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7.
Optimizing Optimization
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Release:
01 Jan 1900
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8.
Asset Management37 %
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₹11,491
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10 Apr 2016
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9.
Derivatives and Hedge Funds37 %
Publisher: Palgrave MacMillan
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₹17,099
₹10,772
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29 Nov 2015
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11.
How to Invest36 % NR
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03 Jul 2023
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12.
Performance Measurement in FinanceNR
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₹629
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14 May 2014
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13.
Return Distributions in FinanceNR
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28 May 2014
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14.
Advanced Trading Rules9 % NR
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28 May 2014
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15.
Advanced Trading Rules32 %
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Release:
01 Jan 1900
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16.
The Economist Guide To Investment Strategy 4th Edition32 %
Publisher: Profile Books Ltd
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₹407
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Release:
26 Apr 2018
Language:
English
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17.
The Analytics of Risk Model Validation
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₹3,417
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Release:
17 Oct 2007
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English
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18.
How to Invest
Publisher: Profile Books Ltd
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11 Jun 2026
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19.
How to Invest
Publisher: Profile Books Ltd
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02 Mar 2023
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20.
Market Momentum – Theory and Practice
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Release:
08 Apr 2021
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