The economics of money, banking and financial markets

Bibliographic Information

The economics of money, banking and financial markets

Frederic S. Mishkin

(Addison-Wesley series in economics)

Pearson, c2010

Business school ed., global ed., 2nd ed

Available at  / 5 libraries

Search this Book/Journal

Note

Includes index

Description and Table of Contents

Description

This is a Pearson Global Edition. The Pearson editorial team worked closely with educators around the world to include content especially relevant to students outside the United States. The Economics of Money, Banking, and Financial Markets set the standard for money and banking courses when it published in its first edition, and it continues to be the worldwide market leader. For professors who teach with less emphasis on monetary theory and prefer to focus more time on financial institutions, the Business School Edition is the ideal alternative. The historic economic events and financial crises of late 2008 have changed the entire landscape of money and banking. Having just served as Governor of the Federal Reserve, only Mishkin has the unique insider's perspective needed to present the current state of money and banking and explain the latest debates and issues for today's students. By applying a unified analytical framework to the models, Mishkin makes theory intuitive for students, and the rich array of current, real-world events keeps students motivated. Authoritative, comprehensive, and flexible, the text is easy to integrate into a wide variety of syllabi, and its ancillaries provide complete support when teaching the course. MyEconLab (R) is available for the text, so students can work end-of-chapter problems online and their work is automatically graded and tracked in your online gradebook. To see how instructors can use MyEconLab in their courses, click here. For more information or to request access, visit MyEconLab.

Table of Contents

Part I Introduction 1. Why Study Money, Banking, and Financial Markets? 2. An Overview of the Financial System 3. What Is Money? A Comparative Approach to Measuring Money Part II Financial Markets 4. Understanding Interest Rates 5. The Behavior of Interest Rates 6. The Risk and Term Structure of Interest Rates 7. The Stock Market, the Theory of Rational Expectations, and the Efficient Market Hypothesis Part III Financial Institutions 8. An Economic Analysis of Financial Structure 9. Financial Crises and the Subprime Meltdown - NEW! 10. Banking and the Management of Financial Institutions 11. Economic Analysis of Financial Regulation 12. Banking Industry: Structure and Competition 13. Nonbank Finance 14. Financial Derivatives 15. Conflicts of Interest in the Financial Industry Part IV Central Banking and the Conduct of Monetary Policy 16. Central Banks: A Global Perspective 17. The Money Supply Process 18. Tools of Monetary Policy 19. The Conduct of Monetary Policy: Strategy and Tactics Part V International Finance and Monetary Policy 20. The Foreign Exchange Market: Exchange Rates and Applications 21. The International Financial System Part VI Monetary Policy 22. The Demand for Money 23. Aggregate Demand and Supply Analysis 24. Transmission Mechanisms of Monetary Policy: The Evidence 25. Money and Inflation

by "Nielsen BookData"

Related Books: 1-1 of 1

Details

  • NCID
    BB00787362
  • ISBN
    • 9780321639769
  • Country Code
    us
  • Title Language Code
    eng
  • Text Language Code
    eng
  • Place of Publication
    Boston ; Tokyo
  • Pages/Volumes
    xli, 662, 12, 1, 32 p.
  • Size
    26 cm
  • Classification
  • Subject Headings
  • Parent Bibliography ID
Page Top