Frederic Mishkin
Economics of Money, Banking and Financial Markets, The, Global Edition
Frederic Mishkin
Economics of Money, Banking and Financial Markets, The, Global Edition
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Teach your students the principles of economics and give them a practical foundation The Economics of Money, Banking and Financial Markets, 13th edition, teaches your students basic economic principles and shows them how to apply them in their professional and personal lives with a flexible teaching structure. This title is available with MyLab .
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Teach your students the principles of economics and give them a practical foundation The Economics of Money, Banking and Financial Markets, 13th edition, teaches your students basic economic principles and shows them how to apply them in their professional and personal lives with a flexible teaching structure. This title is available with MyLab .
Produktdetails
- Produktdetails
- Verlag: Pearson Education Limited
- 13 ed
- Seitenzahl: 720
- Erscheinungstermin: 17. August 2021
- Englisch
- Abmessung: 253mm x 202mm x 29mm
- Gewicht: 1356g
- ISBN-13: 9781292409481
- ISBN-10: 1292409487
- Artikelnr.: 62109529
- Verlag: Pearson Education Limited
- 13 ed
- Seitenzahl: 720
- Erscheinungstermin: 17. August 2021
- Englisch
- Abmessung: 253mm x 202mm x 29mm
- Gewicht: 1356g
- ISBN-13: 9781292409481
- ISBN-10: 1292409487
- Artikelnr.: 62109529
Frederic S. Mishkin is the Alfred Lerner Professor of Banking and Financial Institutions at the Graduate School of Business, Columbia University. He is also a Research Associate at the National Bureau of Economic Research, co-director of the US Monetary Policy Forum, a member of the Squam Lake Working Group on Financial Reform, and past president of the Eastern Economics Association. Professor Mishkin's research focuses on monetary policy and its impact on financial markets and the aggregate economy. He is the author of more than twenty books and has published more than 200 articles in prominent journals. Mishkin is currently an associate editor (member of the editorial board) at six academic journals.
Brief Contents
PART I: Introduction
1. Why Study Money, Banking, and Financial Markets?
2. An Overview of the Financial System
3. What Is Money?
PART II: Financial Markets
1. The Meaning of Interest Rates
2. The Behavior of Interest Rates
3. The Risk and Term Structure of Interest Rates
4. The Stock Market, the Theory of Rational Expectations, and the Efficient
Market Hypothesis
PART III: Financial Institutions
5. An Economic Analysis of Financial Structure
6. Banking and the Management of Financial Institutions
7. Economic Analysis of Financial Regulation
8. Banking Industry: Structure and Competition
9. Financial Crises in Advanced Economies
10. Financial Crises in Emerging Market Economies
PART IV: Central Banking And The Conduct Of Monetary Policy
11. Central Banks
12. The Money Supply Process
13. Tools of Monetary Policy
14. The Conduct of Monetary Policy: Strategy and Tactics
PART V: International Finance and Monetary Policy
15. The Foreign Exchange Market
16. The International Financial System
PART VI: Monetary Theory
17. Quantity Theory, Inflation, and the Demand for Money
18. The IS Curve
19. The Monetary Policy and Aggregate Demand Curves
20. Aggregate Demand and Supply Analysis
21. Monetary Policy Theory
22. The Role of Expectations in Monetary Policy
23. Transmission Mechanisms of Monetary Policy
Additional Chapters in Pearson Pearson Mylab Economics
1. Nonbank Finance
2. Financial Derivatives
3. Conflicts of Interest in the Financial Services Industry
PART I: Introduction
1. Why Study Money, Banking, and Financial Markets?
2. An Overview of the Financial System
3. What Is Money?
PART II: Financial Markets
1. The Meaning of Interest Rates
2. The Behavior of Interest Rates
3. The Risk and Term Structure of Interest Rates
4. The Stock Market, the Theory of Rational Expectations, and the Efficient
Market Hypothesis
PART III: Financial Institutions
5. An Economic Analysis of Financial Structure
6. Banking and the Management of Financial Institutions
7. Economic Analysis of Financial Regulation
8. Banking Industry: Structure and Competition
9. Financial Crises in Advanced Economies
10. Financial Crises in Emerging Market Economies
PART IV: Central Banking And The Conduct Of Monetary Policy
11. Central Banks
12. The Money Supply Process
13. Tools of Monetary Policy
14. The Conduct of Monetary Policy: Strategy and Tactics
PART V: International Finance and Monetary Policy
15. The Foreign Exchange Market
16. The International Financial System
PART VI: Monetary Theory
17. Quantity Theory, Inflation, and the Demand for Money
18. The IS Curve
19. The Monetary Policy and Aggregate Demand Curves
20. Aggregate Demand and Supply Analysis
21. Monetary Policy Theory
22. The Role of Expectations in Monetary Policy
23. Transmission Mechanisms of Monetary Policy
Additional Chapters in Pearson Pearson Mylab Economics
1. Nonbank Finance
2. Financial Derivatives
3. Conflicts of Interest in the Financial Services Industry
Brief Contents
PART I: Introduction
1. Why Study Money, Banking, and Financial Markets?
2. An Overview of the Financial System
3. What Is Money?
PART II: Financial Markets
1. The Meaning of Interest Rates
2. The Behavior of Interest Rates
3. The Risk and Term Structure of Interest Rates
4. The Stock Market, the Theory of Rational Expectations, and the Efficient
Market Hypothesis
PART III: Financial Institutions
5. An Economic Analysis of Financial Structure
6. Banking and the Management of Financial Institutions
7. Economic Analysis of Financial Regulation
8. Banking Industry: Structure and Competition
9. Financial Crises in Advanced Economies
10. Financial Crises in Emerging Market Economies
PART IV: Central Banking And The Conduct Of Monetary Policy
11. Central Banks
12. The Money Supply Process
13. Tools of Monetary Policy
14. The Conduct of Monetary Policy: Strategy and Tactics
PART V: International Finance and Monetary Policy
15. The Foreign Exchange Market
16. The International Financial System
PART VI: Monetary Theory
17. Quantity Theory, Inflation, and the Demand for Money
18. The IS Curve
19. The Monetary Policy and Aggregate Demand Curves
20. Aggregate Demand and Supply Analysis
21. Monetary Policy Theory
22. The Role of Expectations in Monetary Policy
23. Transmission Mechanisms of Monetary Policy
Additional Chapters in Pearson Pearson Mylab Economics
1. Nonbank Finance
2. Financial Derivatives
3. Conflicts of Interest in the Financial Services Industry
PART I: Introduction
1. Why Study Money, Banking, and Financial Markets?
2. An Overview of the Financial System
3. What Is Money?
PART II: Financial Markets
1. The Meaning of Interest Rates
2. The Behavior of Interest Rates
3. The Risk and Term Structure of Interest Rates
4. The Stock Market, the Theory of Rational Expectations, and the Efficient
Market Hypothesis
PART III: Financial Institutions
5. An Economic Analysis of Financial Structure
6. Banking and the Management of Financial Institutions
7. Economic Analysis of Financial Regulation
8. Banking Industry: Structure and Competition
9. Financial Crises in Advanced Economies
10. Financial Crises in Emerging Market Economies
PART IV: Central Banking And The Conduct Of Monetary Policy
11. Central Banks
12. The Money Supply Process
13. Tools of Monetary Policy
14. The Conduct of Monetary Policy: Strategy and Tactics
PART V: International Finance and Monetary Policy
15. The Foreign Exchange Market
16. The International Financial System
PART VI: Monetary Theory
17. Quantity Theory, Inflation, and the Demand for Money
18. The IS Curve
19. The Monetary Policy and Aggregate Demand Curves
20. Aggregate Demand and Supply Analysis
21. Monetary Policy Theory
22. The Role of Expectations in Monetary Policy
23. Transmission Mechanisms of Monetary Policy
Additional Chapters in Pearson Pearson Mylab Economics
1. Nonbank Finance
2. Financial Derivatives
3. Conflicts of Interest in the Financial Services Industry