International finance : theory and policy
著者
書誌事項
International finance : theory and policy
(Pearson series in economics)
Pearson Education, c2021
12th ed., global ed
- : pbk
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注記
Includes bibliographical references and index
内容説明・目次
内容説明
For courses in International Finance.
A balanced approach to theory and policy applications
International Finance: Theory and Policy provides engaging, balanced coverage of the key concepts and practical applications of the discipline. An intuitive introduction to international finance theory is followed by detailed coverage of policy applications. With this new 12th Edition, the author team of Nobel Prize-winning economist Paul Krugman, renowned researcher Maurice Obstfeld, and Marc Melitz of Harvard University continues to set the standard for International Finance courses.
Also available with MyLab Economics: MyLab (TM) Economics is an online homework, tutorial, and assessment program designed to work with this text to engage students and improve results. Within its structured environment, students practice what they learn, test their understanding, and pursue a personalized study plan that helps them better absorb course material and understand difficult concepts.
Students, if interested in purchasing this title with MyLab Economics, ask your instructor for the correct package ISBN and Course ID. Instructors, contact your Pearson representative for more information.
目次
Introduction
Part 1: Exchange Rates and Open-Economy Macroeconomics
National Income Accounting and the Balance of Payments
Exchange Rates and the Foreign Exchange Market: An Asset Approach
Money, Interest Rates, and Exchange Rates
Price Levels and the Exchange Rate in the Long Run
Output and the Exchange Rate in the Short Run
Fixed Exchange Rates and Foreign Exchange Intervention
Part 2: International Macroeconomic Policy
International Monetary Systems: An Historical Overview
Financial Globalization: Opportunity and Crisis
Optimum Currency Areas and the Euro
Developing Countries: Growth, Crisis, and Reform
Mathematical Postscripts
Postscript to Chapter 9: Risk Aversion and International Portfolio Diversification
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