The eighth edition of Financial Institutions, Instruments and Markets sees well-regarded authors Christopher Viney and Peter Phillips team up once again to deliver the latest information in financial institutions management. The new edition includes changes to important market items, updated discussions of the GFC, Murray report, Basel II and III, updated and expanded treatment of futures, derivatives markets and regulatory reforms, as well as an entire new discussion on behavioural finance.
To ensure the content’s relevancy and applicability, 21 new Australian and international case studies illustrate the material covered in each chapter, while the integrated worked examples and in-chapter exercises all further students’ learning.
The latest edition of Financial Institutions, Instruments and Markets is more user-friendly than ever – the structure of the content better aligns with teaching units so specific content is easily located while the design and layout of the text has been updated for readability.
To ensure the content’s relevancy and applicability, 21 new Australian and international case studies illustrate the material covered in each chapter, while the integrated worked examples and in-chapter exercises all further students’ learning.
The latest edition of Financial Institutions, Instruments and Markets is more user-friendly than ever – the structure of the content better aligns with teaching units so specific content is easily located while the design and layout of the text has been updated for readability.
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Part One: Financial Institutions
Chapter 1 A Modern Financial System: an overview
Chapter 2 Commercial Banks
Chapter 3 Non-Bank Financial Institutions
Part Two: Equity Markets
Chapter 4 The Share Market and the Corporation
Chapter 5 Corporations Issuing Equity in the Share Market
Chapter 6 Investors in the Share Market
Chapter 7 Forecasting Share Price Movements
Part Three: The Corporate Debt Market
Chapter 8 Mathematics of Finance: an introduction to basic concepts and calculations
Chapter 9 Short-Term Debt
Chapter 10 Medium-to-long-term Debt
Chapter 11 International Debt Markets
Part Four: Government Debt, Monetary Policy, The Payments System and Interest Rates
Chapter 12 Government Debt, Monetary Policy and the Payments System
Chapter 13 An Introduction to Interest Rate Determination and Forecasting
Chapter 14 Interest Rate Risk Measurement
Part Five: The Foreign Exchange Market
Chapter 15 Foreign Exchange: the structure and operation of the FX market
Chapter 16 Foreign Exchange: factors that influence the exchange rate
Chapter 17 Foreign Exchange: risk identification and management
Part Six: Derivative Markets and Risk Management
Chapter 18 An Introduction to Risk Management and Derivatives
Chapter 19 Futures Contracts and Forward Rate Agreements
Chapter 20 Options
Chapter 21 Interest Rate Swaps, Cross-Currency Swaps and Credit Default Swaps
Chapter 1 A Modern Financial System: an overview
Chapter 2 Commercial Banks
Chapter 3 Non-Bank Financial Institutions
Part Two: Equity Markets
Chapter 4 The Share Market and the Corporation
Chapter 5 Corporations Issuing Equity in the Share Market
Chapter 6 Investors in the Share Market
Chapter 7 Forecasting Share Price Movements
Part Three: The Corporate Debt Market
Chapter 8 Mathematics of Finance: an introduction to basic concepts and calculations
Chapter 9 Short-Term Debt
Chapter 10 Medium-to-long-term Debt
Chapter 11 International Debt Markets
Part Four: Government Debt, Monetary Policy, The Payments System and Interest Rates
Chapter 12 Government Debt, Monetary Policy and the Payments System
Chapter 13 An Introduction to Interest Rate Determination and Forecasting
Chapter 14 Interest Rate Risk Measurement
Part Five: The Foreign Exchange Market
Chapter 15 Foreign Exchange: the structure and operation of the FX market
Chapter 16 Foreign Exchange: factors that influence the exchange rate
Chapter 17 Foreign Exchange: risk identification and management
Part Six: Derivative Markets and Risk Management
Chapter 18 An Introduction to Risk Management and Derivatives
Chapter 19 Futures Contracts and Forward Rate Agreements
Chapter 20 Options
Chapter 21 Interest Rate Swaps, Cross-Currency Swaps and Credit Default Swaps
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Produktdetaljer
ISBN
9781743079959
Publisert
2015-01-14
Utgave
8. utgave
Utgiver
McGraw-Hill Education
Vekt
1611 gr
Høyde
270 mm
Bredde
210 mm
Dybde
20 mm
Aldersnivå
U, 05
Språk
Product language
Engelsk
Format
Product format
Heftet
Antall sider
784