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The Economics of Money, Banking and Financial Markets, Global Edition

The Economics of Money, Banking and Financial Markets, Global Edition

Authors
Publisher Pearson Education
Year 01/11/2018
Edition 12
Pages 744
Version paperback
Readership level College/higher education
Language English
ISBN 9781292268859
Categories Monetary economics, Banking
303.61 PLN (with VAT)
$82.84 / €71.61 / £62.99 /
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Book description

For courses in money and banking, or general economics. A unified framework for understanding financial markets The Economics of Money, Banking and Financial Markets brings a fresh perspective to today's major questions surrounding financial policy. Influenced by his term as Governor of the Federal Reserve, Frederic Mishkin offers students a unique viewpoint and informed insight into the monetary policy process, the regulation and supervision of the financial system, and the internationalization of financial markets. The 12th Edition, Global Edition, provides a unifying, analytic framework for learning that fits a wide variety of syllabi. Core economic principles and real-world examples organize students' thinking and keeps them motivated. MyLab (TM) Economics is not included. Students, if MyLab Economics is a recommended/mandatory component of the course, please ask your instructor for the correct ISBN. MyLab Economics should only be purchased when required by an instructor. Instructors, contact your Pearson representative for more information. Reach every student by pairing this text with MyLab Economics MyLab (TM) is the teaching and learning platform that empowers you to reach every student. By combining trusted author content with digital tools and a flexible platform, MyLab personalizes the learning experience and improves results for each student.

The Economics of Money, Banking and Financial Markets, Global Edition

book_contentlist

PART I: INTRODUCTION 1

1. Why Study Money, Banking, and Financial Markets?

2. An Overview of the Financial System

3. What Is Money?



PART II: FINANCIAL MARKETS

4. The Meaning of Interest Rates

5. The Behavior of Interest Rates

6. The Risk and Term Structure of Interest Rates

7. The Stock Market, the Theory of Rational Expectations, and the Efficient Market Hypothesis



PART III: FINANCIAL INSTITUTIONS

8. An Economic Analysis of Financial Structure

9. Banking and the Management of Financial Institutions

10. Economic Analysis of Financial Regulation

11. Banking Industry: Structure and Competition

12. Financial Crises in Advanced Economies

13. Financial Crises in Emerging Market Economies



PART IV: CENTRAL BANKING AND THE CONDUCT OF MONETARY POLICY

14. Central Banks

15. The Money Supply Process

16. Tools of Monetary Policy

17. The Conduct of Monetary Policy: Strategy and Tactics



PART V: INTERNATIONAL FINANCE AND MONETARY POLICY

18. The Foreign Exchange Market

19. The International Financial System



PART VI: MONETARY THEORY

20. Quantity Theory, Inflation, and the Demand for Money

21. The IS Curve

22. The Monetary Policy and Aggregate Demand Curves

23. Aggregate Demand and Supply Analysis

24. Monetary Policy Theory

25. The Role of Expectations in Monetary Policy

26. Transmission Mechanisms of Monetary Policy



CHAPTERS ON THE WEB

1. The ISLM Model

2. Nonbank Finance

3. Financial Derivatives

4. Conflicts of Interest in the Financial Services Industry

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