Introduction to Financial Theory Development
This is a general overview to financial theory.
Exposition of a New Theory on the Measurement of Risk — Daniel Bernoulli, 1738 / 1954 translation
American economic Review — Franco Modigliani & Merton Miller, 1958
For attribution, please cite this work as
Katzke (2026, July 24). Financial Economics Course: Session 1. Retrieved from https://www.fecos.nfkatzke.com/posts/2021-08-04-session1/
BibTeX citation
@misc{katzke2026session,
author = {Katzke, N.F.},
title = {Financial Economics Course: Session 1},
url = {https://www.fecos.nfkatzke.com/posts/2021-08-04-session1/},
year = {2026}
}