The substantially revised fifth edition of a textbook covering the
wide range of instruments available in financial markets, with a new
emphasis on risk management. Over the last fifty years, an extensive
array of instruments for financing, investing, and controlling risk
has become available in financial markets, with demand for these
innovations driven by the needs of investors and borrowers. The recent
financial crisis offered painful lessons on the consequences of
ignoring the risks associated with new financial products and
strategies. This substantially revised fifth edition of a widely used
text covers financial product innovation with a new emphasis on risk
management and regulatory reform. Chapters from the previous edition
have been updated, and new chapters cover material that reflects
recent developments in financial markets. The book begins with an
introduction to financial markets, offering a new chapter that
provides an overview of risk—including the key elements of financial
risk management and the identification and quantification of risk. The
book then covers market participants, including a new chapter on
collective investment products managed by asset management firms; the
basics of cash and derivatives markets, with new coverage of financial
derivatives and securitization; theories of risk and return, with a
new chapter on return distributions and risk measures; the structure
of interest rates and the pricing of debt obligations; equity markets;
debt markets, including chapters on money market instruments,
municipal securities, and credit sensitive securitized products; and
advanced coverage of derivative markets. Each chapter ends with a
review of key points and questions based on the material covered.
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Institutions, Instruments, and Risk Management
Produktdetaljer
ISBN
9780262331593
Publisert
2016
Utgave
5. utgave
Utgiver
Random House Publishing Services
Språk
Product language
Engelsk
Format
Product format
Digital bok
Forfatter