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Prepare your students for the world of modern financial markets. Financial Markets and Institutions combines the latest information with expert advice, introducing core principles and teaching your students how to apply their knowledge to the real world. With new chapters and learning features, this edition serves as a powerful aid to your teaching.
Gain the necessary tools for a successful future in business and finance with this comprehensive text. Financial Markets and Institutions , 9th edition, Global Edition, by bestselling authors Frederic S. Mishkin and Stanley G. Eakins, serves as a comprehensive companion to courses in financial markets. The text adopts a practical approach to the changing landscape of financial markets, introducing you to core principles and then teaching you how to apply these models to real-world scenarios. Empirical applications of themes help develop your critical thinking and problem-solving skills, preparing you for a future career in business and finance.
This ninth edition has been updated to include brand new material on topics such as monetary policy, financial markets and institutions, and also includes an additional appendices section available online.
With expert advice from two knowledgeable authors on the subject, this book guides you through the core concepts of financial markets and gives you the tools to succeed in the business world.
This title comes with a Companion Website .
Auteur
Frederic S. Mishkin is the Alfred Lerner Professor of Banking and Financial Institutions at the Graduate School of Business, Columbia University. From September 2006 to August 2008, he was a member (governor) of the Board of Governors of the Federal Reserve System.
He is also a research associate at the National Bureau of Economic Research and past president of the Eastern Economics Association. Since receiving his PhD from the Massachusetts Institute of Technology in 1976, he has taught at the University of Chicago, Northwestern University, Princeton University, and Columbia University. He has also received an honorary professorship from the People's (Renmin) University of China. From 1994 to 1997, he was executive vice president and director of research at the Federal Reserve Bank of New York and an associate economist of the Federal Open Market Committee of the Federal Reserve System.
Mishkin's research focuses on monetary policy and its impact on financial markets and the aggregate economy. He is the author of more than twenty books.
Stanley G. Eakins has notable experience as a financial practitioner, serving as vice president and comptroller at the First National Bank of Fairbanks and as a commercial and real estate loan officer. A founder of the Denali Title and Escrow Agency, a title insurance company in Fairbanks, Alaska, he also ran the operations side of a bank and was the chief finance officer for a multimillion-dollar construction and development company.
Professor Eakins received his PhD from Arizona State University. He is the Dean for the College of Business at East Carolina University. His research is focused primarily on the role of institutions in corporate control and how they influence investment practices. He is also interested in integrating multimedia tools into the learning environment and has received grants from East Carolina University in support of this work.
A contributor to journals such as the 'Quarterly Journal of Business and Economics', the 'Journal of Financial Research', and the 'International Review of Financial Analysis', Eakins is also the author of 'Corporate Finance Online' (CFO) (Pearson, 2014), a multimedia online text designed from the ground up for electronic delivery.
Texte du rabat
For courses in financial markets.
Real-world applications help students navigate the shifting financial landscape Financial Markets and Institutions takes a practical approach to the changing landscape of financial markets and institutions. Best-selling authors Frederic S. Mishkin and Stanley G. Eakins use core principles to introduce students to topics, then examine these models with real-world scenarios. Empirical applications of themes help students develop essential critical-thinking and problem-solving skills, preparing them for future careers in business and finance. The 9th Edition combines the latest, most relevant information and policies with the authors' hallmark pedagogy to give instructors a refined tool to improve the learning experience.
Contenu
PART I: INTRODUCTION
Overview of the Financial System PART II: FUNDAMENTALS OF FINANCIAL MARKETS
Are Financial Markets Efficient? PART III: FUNDAMENTALS OF FINANCIAL INSTITUTIONS
Why Do Financial Crises Occur and Why Are They So Damaging to the Economy? PART IV: CENTRAL BANKING AND THE CONDUCT OF MONETARY POLICY
Conduct of Monetary Policy PART V: FINANCIAL MARKETS
The Foreign Exchange Market
Appendix: The Interest Parity Condition
The International Financial System PART VI: THE FINANCIAL INSTITUTIONS INDUSTRY
Investment Banks, Security Brokers and Dealers, and Venture Capital Firms PART VII: THE MANAGEMENT OF FINANCIAL INSTITUTIONS