The Economics of Money, Banking, and Financial Markets
Résumé
Features
- NEW! An all-new chapter 20 on the strategies for monetary policy used by central banks around the world.
- NEW! Extensive treatment of the East Asian financial crisis and the role of the IMF in crisis prevention efforts.
- NEW! Lively analysis of whether the euro will benefit Europe and how it has performed in currency markets to date.
- NEW! Examination of the structure and independence of the European Central Bank.
- NEW! Probing discussion of hedge funds and the near failure of Long-Term Capital Management.
- NEW! In-depth coverage of the Financial Services Modernization Act of 1999 and its impact.
- NEW! Extensive, real-world applications throughout the text have been extensively updated for the new edition, and there are many new examples.
- NEW! Companion web site. An expanded Companion Web Site, www.awlonline.com/mishkin, offers multiple-choice quizzes, a weekly news feature, Readings in Money, Banking, and Financial Markets (current articles), a Syllabus Manager for instructors, and much more.
- Unique analytical framework. The texts hallmark, unifying framework is based on a few essential economic principles and the systematic development of models.
- Outstanding pedagogical features such as Inside the Fed, Following the Financial News, Reading The Wall Street Journal, and general interest boxes have been comprehensively updated for the Sixth Edition.
Contents
2. An Overview of the Financial System.
3. What is Money?
5. The Behavior of Interest Rates.
6. The Risk and Term Structure of Interest Rates.
7. The Foreign Exchange Market.
9. The Banking Firm and the Management of Financial Institutions.
10. Banking Industry: Structure and Competition.
11. Economic Analysis of Banking Regulation.
12. Nonbank Financial Institutions.
13. Financial Derivatives.
15. Multiple Deposit Creation and the Money Supply Process.
16. Determinants of the Money Supply.
17. Tools of Monetary Policy.
18. Conduct of Monetary Policy: Goals and Targets.
19. The International Financial System.
20. Monetary Policy Strategy: The International Experience.
22. The Keynesian Framework and ISLM Model.
23. Monetary and Fiscal Policy in the ISLM Model.
24. Aggregate Demand and Supply Analysis.
25. Transmission Mechanisms of Monetary Policy: The Evidence.
26. Money and Inflation.
27. Theory of Rational Expectations and Efficient Capital Markets.
28. Rational Expectations: Implications for Policy.
L'auteur - Frederic S. Mishkin
Frederic S. Mishkin est professeur de Banking and Financial Institutions à la Graduate School of Business de Columbia University, New York.
Autres livres de Frederic S. Mishkin
Caractéristiques techniques
PAPIER | |
Éditeur(s) | Addison Wesley |
Auteur(s) | Frederic S. Mishkin |
Parution | 01/10/2000 |
Édition | 6eme édition |
Nb. de pages | 832 |
Format | 18,7 x 23,2 |
Couverture | Broché |
Poids | 1212g |
Intérieur | Quadri |
EAN13 | 9780321085382 |
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