جزئیات کتاب
فرمت
جلد سخت
صفحات
196
زبان
انگلیسی
منتشر شده
Feb 5, 2020
ناشر
World Scientific Publishing Co.
ISBN-10
981120778X
ISBN-13
9789811207785
توضیحات
Set against the backdrop of academia and financial markets, a gripping narrative unfolds, exploring the intricate relationship between scholarly theories and real-world implications. The authors delve into the consequences of professors' theoretical teachings that, while initially benign, spiraled into a far-reaching phenomenon known as a "Fraud-on-the-Market." They examine how abstract concepts, when applied to concrete financial situations, can lead to unexpectedly severe ramifications for both investors and the markets at large.
Through a blend of insightful analysis, case studies, and engaging storytelling, the authors challenge readers to rethink the influence of academia on financial ethics and regulations. With a critical lens, they probe into how well-intentioned academic work can inadvertently distort market realities and alter investor behavior. This exploration serves not only as a cautionary tale but also ignites a conversation about the responsibility of educators and the lessons that can be learned from past missteps.
Through a blend of insightful analysis, case studies, and engaging storytelling, the authors challenge readers to rethink the influence of academia on financial ethics and regulations. With a critical lens, they probe into how well-intentioned academic work can inadvertently distort market realities and alter investor behavior. This exploration serves not only as a cautionary tale but also ignites a conversation about the responsibility of educators and the lessons that can be learned from past missteps.