9780137009701-0137009704-Financial Markets and Institutions Value Package (includes Study Guide for Financial Markets and Institutions) (6th Edition)

Financial Markets and Institutions Value Package (includes Study Guide for Financial Markets and Institutions) (6th Edition)

ISBN-13: 9780137009701
ISBN-10: 0137009704
Edition: 6
Author: Frederic S. Mishkin, Stanley Eakins
Publication date: 2008
Publisher: Prentice Hall
Format: Hardcover
Category: Investing
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Book details

ISBN-13: 9780137009701
ISBN-10: 0137009704
Edition: 6
Author: Frederic S. Mishkin, Stanley Eakins
Publication date: 2008
Publisher: Prentice Hall
Format: Hardcover
Category: Investing

Summary

Financial Markets and Institutions Value Package (includes Study Guide for Financial Markets and Institutions) (6th Edition) (ISBN-13: 9780137009701 and ISBN-10: 0137009704), written by authors Frederic S. Mishkin, Stanley Eakins, was published by Prentice Hall in 2008. With an overall rating of 4.4 stars, it's a notable title among other Investing books. You can easily purchase or rent Financial Markets and Institutions Value Package (includes Study Guide for Financial Markets and Institutions) (6th Edition) (Hardcover) from BooksRun, along with many other new and used Investing books and textbooks. And, if you're looking to sell your copy, our current buyback offer is $0.3.

Description

Departing from the traditional approach of other works, this text avoids rote memorization of institutional detail through the use of a unifying analytical framework that helps students not only to make sense of the financial system, with a particular emphasis on the States, but also shows them how financial institutions affect, and are affected by, the state of the economy. To help organize student's thinking, this framework employs a few basic principles, including a simple approach to portfolio choice, an asset market approach to understanding behaviour in financial markets, the theory of efficient capital markets, a transactions cost and asymetric information approach to financial structure, measurement and management of interest rate risk and aggregate supply and demand analysis. Models are then used to apply these principles to aid understanding of the current operation of financial institutions and markets and how these institutions and markets might respond to future changes in the economic regulatory movement. Adopting a managerial focus, this text contains approximately 40 major applications.

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