Marktplatzangebote
Ein Angebot für € 11,09 €
  • Broschiertes Buch

‘Finance and Financial Markets’ is a major text designed for introductory undergraduate, postgraduate and MBA courses in finance. It provides a comprehensive yet relatively non-technical introduction to modern day financial institutions, markets and instruments.
Table of contents:
The World of Finance - Financial Markets and Instruments - Financial Institutions - Monetary Policy and Interest Rate Determination - The Domestic and International Money Markets - The International Bond Market - Portfolio Analysis: Risk and Return in Financial Markets - The Capital Asset Pricing Model -…mehr

Produktbeschreibung
‘Finance and Financial Markets’ is a major text designed for introductory undergraduate, postgraduate and MBA courses in finance. It provides a comprehensive yet relatively non-technical introduction to modern day financial institutions, markets and instruments.

Table of contents:
The World of Finance - Financial Markets and Instruments - Financial Institutions - Monetary Policy and Interest Rate Determination - The Domestic and International Money Markets - The International Bond Market - Portfolio Analysis: Risk and Return in Financial Markets - The Capital Asset Pricing Model - Stockmarkets and Equities - The Efficiency of Financial Markets - The Foreign Exchange Market - Theories of Exchange Rate Determination - Financial Futures - Options - The Pricing of Options - Swap Markets - The Regulation of Financial Services
Autorenporträt
KEITH PILBEAM lectures in International Finance at City University, London. A graduate at Leeds University, he has undertaken postgraduate studies at the College of Europe in Bruges, where he also became a teaching assistant. He obtained his PhD from the European University Institute in Florence and has been employed at the National Westminster Bank and the Royal Bank of Scotland. He is a consultant to the Foreign Office and a number of academic and City financial institutions. His two previous books are ‘Exchange Rate Management: Theory and Evidence’ (Macmillan, 1991) and ‘International Finance’ (Macmillan, 1992).