International financial markets : prices and policies
Author(s)
Bibliographic Information
International financial markets : prices and policies
(The Irwin/McGraw-Hill series in finance, insurance, and real estate)
Irwin/McGraw-Hill, c1998
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Note
Includes bibliographical references and indexes
Description and Table of Contents
Description
This book can be used in either an international financial markets course or an international finance course with a markets emphasis at either the advanced undergraduate or MBA level. The secondary market is an international financial management course with a strong markets focus. This book analyzes the key segments of the international financial markets and is unique in that it (1) provides a strong economic treatment and analysis in support of the underlying text concepts, (2) relates the important and inescapable interplay between regulation (government policies) and the markets and (3) examines the instruments and markets from a pricing as well as a risk analysis and risk management perspective.
Table of Contents
Part I: Introduction and OverviewChapter 1: Introduction to the Study of International Financial MarketsChapter 2: An Overview of International Monetary Systems and Recent Developments in International Financial MarketsPart II: Foreign Exchange MarketsChapter 3: Market Structure and InstitutionsChapter 4: International Parity Conditions: Purchasing Power ParityChapter 5: International Parity Conditions: Interest Rate Parity and the Fisher ParitiesChapter 6: Determination of Spot Exchange RatesChapter 7: Foreign Exchange Market Efficiency Chapter 8: Foreign Exchange Rate ForecastingPart III: Offshore Financial MarketsChapter 9: Eurocurrency MarketsChapter 10: Eurobond MarketsPart IV: Derivative Security Markets: Futures, Options, and SwapsChapter 11: Currency and Interest Rate FuturesChapter 12: Currency and Interest Rate OptionsChapter 13: Currency and Interest Rate SwapsPart V: International Asset PortfoliosChapter 14: Bond PortfoliosChapter 15: Equity PortfoliosPart VI: International Asset Portfolios and Financial Risk ManagementChapter 16: Measuring and Managing the Risk in International Financial PositionsPart VII: Regulatory IssuesChapter 17: Giving Direction to International Financial Markets: Regulation and Intervention in the Competitive Marketplace
by "Nielsen BookData"