The financial institutions and markets reader

書誌事項

The financial institutions and markets reader

edited by Robert W. Kolb

Blackwell, 1996

3rd ed

  • : pbk

大学図書館所蔵 件 / 7

この図書・雑誌をさがす

注記

Includes bibliographical references (p. [331-332])

内容説明・目次

内容説明

Suitable as a supplement to most financial institutions courses, this comprehensive reader contains 40 current articles covering the financial system, monetary policy and central banking, depository institutions, financial markets, non-depository financial intermediaries, and international financial markets and institutions. This edition has been extensively revised, and includes approximately 30 new articles, ensuring that it continues to provide an accessible and timely collection of articles available in a single volume.

目次

  • Part 1 The financial system: a beginner's guide to the US payments system, Paul W. Bauer
  • the International Monetary Fund 50 years after Bretton Woods, Norman S. Fieleke
  • on the way to a new monetary union - the European Monetary Union, Helmut Schlesinger
  • what causes inflation?, Laurence Ball
  • inflation and the yield curve, Peter A. Abken
  • securitization - more than just a regulatory artifact, Charles T. Carlstrom and Katherine A. Samolyk. Part 2 Monetary policy and central banking: a primer on monetary policy part I - goals and instruments, Carl E. Walsh
  • a primer on monetary policy part II - targets and indicators, Carl E. Walsh)
  • monetary policy in the 1990s, Robert T. Parry
  • central bank independence, Owen F. Humpage
  • managing the public debt, D. Keith Sill. Part 3 Depository institutions: ex-ante risk and ex-post collapse of S&Ls in the 1980s, Elijah Brewer III and Thomas H. Mondschean
  • underlying causes of commercial bank failures in the 1980s, Lynn D. Seballos and James B. Thomson
  • market risk and bank capital - part I, Mark E. Levonian
  • market risk and bank capital - part II, Mark E. Levonian
  • risk measurement actuarially-fair deposit insurance premiums and the FDIC's risk-related premium system, Gary S. Fissel
  • bank powers and the separation of banking from commerce - an historical perspective, Christine E. Blair
  • the economics of merging commercial and investment banking, Simon Kwan
  • interstate banking and risk, Mary E. Levonian
  • market value accounting for commercial banks, Thomas Mondschean
  • interest rate derivatives and asset-liability management by commercial banks, Katerina Simons. Part 4 Financial markets: financial markets in 2020, Charles S. Sanford Jr
  • should we throw sand in the gears of financial markets?, Craig S. Hakkio
  • do stock prices reflect fundamental values?, J. Randall Woolridge
  • the market's problem with the pricing of initial public offerings, Roger G. Ibbotson et al
  • can the government roll over its debt forever?, Andrew B. Abel
  • the economics of treasury securities markets, Sushil Bikhchandani and Chi-fu Huang
  • auctioning treasury securities, E.J. Stevens and Diana Dumitru
  • a guide to investing in US trasurey STRIPS, Phillip R. Daves et al
  • over-the-counter financial derivatives - risky business?, Peter A. Abken
  • risks in the swaps markets, Elizabeth Laderman. Part 5 Non-depository financial intermediaries. (Part contents)

「Nielsen BookData」 より

詳細情報

ページトップへ