Financial Markets and Institutions, 6e offers a unique analysis of the risks faced by investors and savers interacting through financial institutions and financial markets, as well as strategies that can be adopted for controlling and managing risks. Special emphasis is put on new areas of operations in financial markets and institutions such as asset securitization, off-balance-sheet activities, and globalization of financial services. Then, resources within Connect help students solve financial problems and apply what they've learned. Saunders' strong markets focus and superior pedagogy combine with a complete digital solution to help students achieve higher outcomes in the course.Connect is the only integrated learning system that empowers students by continuously adapting to deliver precisely what they need, when they need it, and how they need it, so that your class time is more engaging and effective.
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An analysis of the risks faced by investors and savers interacting through financial institutions and financial markets, as well as strategies that can be adopted for controlling and managing risks. It focuses on new areas of operations in financial markets and institutions such as asset securitization, and, off-balance-sheet activities.
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Part I. Introduction and Overview of Financial Markets1.Introduction2.Determinants of Interest Rates3.Interest Rates and Security Valuation4.The Federal Reserve System, Monetary Policy, and Interest RatesPart II. Securities Markets5.Money Markets6.Bond Markets7.Mortgage Markets8.Stock Markets9.Foreign Exchange Markets10.Derivative Securities MarketsPart III. Commercial Banks11.Commercial Banks: Industry Overview12.Commercial Banks' Financial Statements and Analysis13.Regulation of Commercial BanksPart IV. Other Financial Institutions14.Other Lending Institutions: Savings Institutions, Credit Unions, and Finance Companies 15.Insurance Companies16.Securities Firms and Investment Banks17.Mutual Funds and Hedge Funds18.Pension FundsPart V. Risk Management in Financial Institutions19.Types of Risks Incurred by Financial Institutions20.Managing Credit Risk on the Balance Sheet 21.Managing Liquidity Risk on the Balance Sheet22.Managing Interest Rate and Insolvency Risk on the Balance Sheet23.Managing Risk off the Balance Sheet with Derivative Securities24.Managing Risk off the Balance Sheet with Loan Sales and Securitization
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Produktdetaljer
ISBN
9780077861667
Publisert
2014-12-16
Utgave
6. utgave
Utgiver
Vendor
McGraw-Hill Professional
Vekt
1588 gr
Høyde
282 mm
Bredde
218 mm
Dybde
31 mm
Aldersnivå
01, 05, G, U
Språk
Product language
Engelsk
Format
Product format
Innbundet
Antall sider
768