Finance and Financial Markets
Autor Keith Pilbeamen Limba Engleză Paperback – 23 ian 2018
It is ideally suited to students at all levels who take economics, business and finance courses, as well as for those who want to understand the workings of the modern financial world.
New to this Edition:
- New case studies, including coverage of the Libor and foreign exchange rigging scandals, Bitcoin, the FinTech revolution and issues raised by Brexit
- Fully updated data and relevant numerical examples
- Coverage of derivatives such as futures, options and swaps
- Extensive discussion of regulatory developments since the financial crisis
- A companion website featuring teaching resources is available
Accompanying online resources for this title can be found at bloomsburyonlineresources.com/finance-and-financial-markets-4e. These resources are designed to support teaching and learning when using this textbook and are available at no extra cost.
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Specificații
ISBN-13: 9781137515629
ISBN-10: 1137515627
Pagini: 502
Ilustrații: 50 bw illus
Dimensiuni: 194 x 258 x 30 mm
Greutate: 1.09 kg
Ediția:4th 2018 edition
Editura: Bloomsbury Publishing
Colecția Red Globe Press
Locul publicării:London, United Kingdom
ISBN-10: 1137515627
Pagini: 502
Ilustrații: 50 bw illus
Dimensiuni: 194 x 258 x 30 mm
Greutate: 1.09 kg
Ediția:4th 2018 edition
Editura: Bloomsbury Publishing
Colecția Red Globe Press
Locul publicării:London, United Kingdom
Cuprins
1. The World of Finance
2. Financial Intermediation and Financial Markets
3. Financial Institutions
4. Monetary Policy and Interest Rate Determination
5. Domestic and International Money Markets
6. The Domestic and International Bond Market
7. Portfolio Analysis: Risk and Return in Financial Markets
8. The Capital Asset Pricing Model
9. Stockmarkets and Equities
10. The Efficiency of Financial Markets
11. The Foreign Exchange Market
12. Theories of Exchange Rate Determination
13. Financial Futures
14. Options
15. Option Pricing
16. Swap Markets
17. Financial Innovation and the Credit Crunch
18. Regulation of the Financial Sector.
2. Financial Intermediation and Financial Markets
3. Financial Institutions
4. Monetary Policy and Interest Rate Determination
5. Domestic and International Money Markets
6. The Domestic and International Bond Market
7. Portfolio Analysis: Risk and Return in Financial Markets
8. The Capital Asset Pricing Model
9. Stockmarkets and Equities
10. The Efficiency of Financial Markets
11. The Foreign Exchange Market
12. Theories of Exchange Rate Determination
13. Financial Futures
14. Options
15. Option Pricing
16. Swap Markets
17. Financial Innovation and the Credit Crunch
18. Regulation of the Financial Sector.
Recenzii
Finance and Financial Markets provides an excellent and concise overview of the topic that I have found very useful for finance courses at all levels, including MBA teaching.
I would definitely recommend this textbook for undergraduate level. It takes students on a journey into the world of financial markets, from traditional concepts to innovations. Comprehensive and well exemplified, current trends are introduced, such as Bitcoin and Islamic finance. Attractive and accessible for readers, this new edition is the type of book that you want for raising students' awareness about important lessons and issues.
Finance & Financial Markets provides an up-to-date and authoritative analysis of the way financial markets work. The book not only studies the main pillars that define modern finance theory but also goes a step further by discussing the world of financial derivatives, valuation and role in shaping current financial markets.
This excellent 4th edition continues to provide an accessible introduction to the principles of finance and financial markets and applies this knowledge to an array of problems. It covers the important financial markets and there is also emphasis on financial innovation and financial regulation in order to explain how the latter impacts financial institutions and markets. The book is written in a lively manner to incorporate real world events into the discussion which should be invaluable to students seeking an up-to-date and lucid understanding of finance and financial markets.
A must-read, reader-friendly textbook for anyone interested in the world of finance. It is a superb, up-to-date overview of financial markets and instruments. The new revised edition includes new, very interesting case studies, such as the Libor and the Forex rigging scandals and uses up-to-date data. Providing a unique combination of rigour, numerical illustrations and real world examples, means that the new edition will undoubtedly maintain its market leadership position.
I would definitely recommend this textbook for undergraduate level. It takes students on a journey into the world of financial markets, from traditional concepts to innovations. Comprehensive and well exemplified, current trends are introduced, such as Bitcoin and Islamic finance. Attractive and accessible for readers, this new edition is the type of book that you want for raising students' awareness about important lessons and issues.
Finance & Financial Markets provides an up-to-date and authoritative analysis of the way financial markets work. The book not only studies the main pillars that define modern finance theory but also goes a step further by discussing the world of financial derivatives, valuation and role in shaping current financial markets.
This excellent 4th edition continues to provide an accessible introduction to the principles of finance and financial markets and applies this knowledge to an array of problems. It covers the important financial markets and there is also emphasis on financial innovation and financial regulation in order to explain how the latter impacts financial institutions and markets. The book is written in a lively manner to incorporate real world events into the discussion which should be invaluable to students seeking an up-to-date and lucid understanding of finance and financial markets.
A must-read, reader-friendly textbook for anyone interested in the world of finance. It is a superb, up-to-date overview of financial markets and instruments. The new revised edition includes new, very interesting case studies, such as the Libor and the Forex rigging scandals and uses up-to-date data. Providing a unique combination of rigour, numerical illustrations and real world examples, means that the new edition will undoubtedly maintain its market leadership position.