Frank J. Fabozzi is an American economist, educator, writer, and investor, currently Professor of Finance at EDHEC Business School and a Member of Edhec Risk Institute. Source: https://en.wikipedia.org/wiki/Frank_J._Fabozzi

Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization
2008
ISBN 9780470053164
Foundations of Financial Markets and Institutions
2002
ISBN 9780131227347
Robust Portfolio Optimization and Management
2007
ISBN 9780471921226
Structured Products and Related Credit Derivatives
2008
ISBN 9780470369234
The Handbook of Fixed Income Securities, Eighth Edition
2012
ISBN 9780071768467
Encyclopedia of Financial Models
2012
ISBN 9781118539958
Entrepreneurial Finance and Accounting for High-Tech Companies
2016
ISBN 9780262336901
The Handbook of Fixed Income Securities, Ninth Edition
2021
ISBN 9781260473902
Introduction to Fixed-Income Analysis and Portfolio Management
2025
ISBN 9780262381451
The Economics of FinTech
2025
ISBN 9780262049535
Capital Markets, sixth edition
2025
ISBN 9780262383196
Fixed Income Analysis
2007
ISBN 9780470107843
Foundations of Global Financial Markets and Institutions, fifth edition
2019
ISBN 9780262351720
Financial Modeling of the Equity Market: From Capm to Cointegration
2006
ISBN 9780470037690
Institutional Investment Management
2009
ISBN 9780470538906
Investment Management after the Global Financial Crisis
2010
ISBN 9781934667378
Fixed Income Analysis Workbook
2011
ISBN 9781118044858
Adaptive Finance
2026
ISBN 9780262051439
Trends in Quantitative Finance
2006
ISBN 9781932495492
Mathematical Methods for Finance: Tools for Asset and Risk Management
2013
ISBN 9781299907669
Fixed Income Securities
2002
ISBN 9780471450634
The Global Money Markets
2003
ISBN 9780471445647
Financial Management and Analysis
2003
ISBN 9780471234845
The Theory and Practice of Investment Management Workbook
2004
ISBN 9780471489504