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Economics of Money, Banking, and Financial Markets, Business School Edition, The (2nd Edition)Economics of Money, Banking, and Financial Markets, Business School Edition, The (2nd Edition)
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. 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 readers. 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.

Introduction: Why Study Money, Banking, and Financial Markets?; An Overview of the Financial System; What Is Money? Financial Markets: Understanding Interest Rates; The Behavior of Interest Rates; The Risk and Term Structure of Interest Rates; The Stock Market, the Theory of Rational Expectations, and the Efficient Market Hypothesis. Financial Institutions: An Economic Analysis of Financial Structure; Financial Crises and the Subprime Debacle; Banking and the Management of Financial Institutions; Economic Analysis of Financial Regulation; Banking Industry: Structure and Competition; Nonbank Finance; Financial Derivatives; Conflicts of Interest in the Financial Industry. Central Banking and the Conduct of Monetary Policy: Structure of Central Banks and the Federal Reserve System; The Money Supply Process; Tools of Monetary Policy; What Should Central Banks Do? Monetary Policy Goals, Strategy, and Tactics. International Finance and Monetary Policy: The Foreign Exchange Market; The International Financial System. Monetary Policy: The Demand for Money; Aggregate Demand and Supply Analysis; Transmission Mechanisms of Monetary Policy: The Evidence; Money and Inflation.

For all readers interested in money, banking, and financial markets.

List Price: USD $180.00    Author: Frederic S. Mishkin    Year: 2009    No. Pages: 768

Financial Markets and Institutions (6th Edition)Financial Markets and Institutions (6th Edition)
In Financial Markets and Institutions, best-selling authors Mishkin and Eakins provide a practical introduction to prepare students for today's changing landscape of financial markets and institutions. A unifying framework uses a few core principles to organize students' thinking then examines the models as real-world scenarios from a practitioner's perspective. By analyzing these applications, students develop the critical-thinking and problem-solving skills necessary to respond to challenging situations in their future careers. The Sixth Edition features new quantitative examples and ExcelA (R) screenshots to enhance student comprehension; enhanced coverage of ethics, behavioral finance, and arbitrage in markets; and additional examples and cases to extend theory into application.
List Price: USD $194.00    Author: Frederic S. Mishkin    Year: 2008    No. Pages: 752

Financial Markets and Institutions, Abridged Edition (with Stock-Trak Coupon)Financial Markets and Institutions, Abridged Edition (with Stock-Trak Coupon)
With its proven conceptual framework and clear presentation, FINANCIAL MARKETS AND INSTITUTIONS, Abridged Ninth Edition (with Stock-Trak coupon), can help you understand why financial markets exist, how financial institutions serve those markets, and the various services those institutions offer. In describing each type of market, the text emphasizes the securities traded in that market and how financial institutions participate in it, while descriptions of financial institutions focus on their management, performance, regulatory aspects, use of financial markets, and sources and uses of funds. Following the introduction of key financial markets and institutions, the text explores the functions of the Federal Reserve System, the major debt security markets, equity security markets, and the derivative security market. Continuing a strong tradition of timely examples and practical applications, the Abridged Ninth Edition includes extensive updates on the global financial and credit crisis, revised questions and exercises, and new WALL STREET JOURNAL features. In addition, integrated learning tools such as chapter summaries, learning objectives, Internet exercises, special coverage of global financial issues, point/counterpoint discussions of controversial topics, and features to help you interpret current financial news reinforce key concepts and make it easier for you to master the material and succeed in class.
List Price: USD $167.95    Author: Jeff Madura    Year: 2010    No. Pages: 480

Financial Markets & Institutions w/S&P bind-in card (McGraw-Hill/Irwin Series in Finance, Insurance and Real Estate)Financial Markets & Institutions w/S&P bind-in card (McGraw-Hill/Irwin Series in Finance, Insurance and Real Estate)
Financial Markets and Institutions, 4/e offers a unique analysis of the risks faced by investors and savers interacting through financial institutions and financial markets, as well as strategies that can be adopted for controlling and managing risks. Special emphasis is put on new areas of operations in financial markets and institutions such as asset securitization, off-balance-sheet activities, and globalization of financial services.
Author: Anthony Saunders    Year: 2008    No. Pages: 697

Financial Institutions, Markets, and MoneyFinancial Institutions, Markets, and Money
Financial Institutions, Markets, and Money provides a balanced introduction to the operation, mechanics, and structure of the U.S. financial system emphasizing its institutions, markets, and financial instruments. The authors stress the mastery of fundamental material, placing an emphasis on how things really work in a market context. The book has balanced coverage of the U.S. financial system with a strong emphasis on both institutions and markets.
Special attention is given to the Federal Reserve System and its conduct of monetary policy. The authors also stress the risks that the financial institutions face (i.e. interest rate risk, credit risk, liquidity risk, foreign exchange risk) and how they can manage those risks in financial markets. Furthermore, the authors recognize the impact that technology and globalization have on the operations and structure of the financial system. The book is also written with a strong historical perspective with attention given to the historical development of financial institutions and markets with discussion of important historical events.

Author: David S. Kidwell    Year: 2008    No. Pages: 704

Study Guide to accompany Money, Banking, and Financial MarketsStudy Guide to accompany Money, Banking, and Financial Markets
Written by James Fackler of the University of Kentucky, the Study Guide contains a wealth of review and tutorial resources, including multiple choice questions, detailed descriptions of key chapter topics and terminology, review essays, and problems. Written with an easy, friendly tone, this Guide is a must for students.
Author: Stephen Cecchetti    Year: 2007    No. Pages: 532

Foundations of Financial Markets and Institutions (4th Edition)Foundations of Financial Markets and Institutions (4th Edition)
A core text for one semester courses in Financial Institutions and Markets. A comprehensive exploration of the world's financial markets and institutions. Foundations of Financial Markets and Institutions, offers a comprehensive exploration of the revolutionary developments occurring in the world's financial markets and institutions --i.e., innovation, globalization, and deregulation--with a focus on the actual practices of financial institutions, investors, and financial instruments. This fourth edition incorporates and addresses the vast amount of changes that have recently occurred in financial institutions and markets around the world.
List Price: USD $194.00    Author: Frank J. Fabozzi    Year: 2009    No. Pages: 696

Guide to Financial Markets (The Economist)Guide to Financial Markets (The Economist)
Recent market turbulence makes it abundantly clear how important it is to understand the key markets. This book is the definitive guide to why different markets exist, how they operate, and how they are interrelated.

Extensively revised and updated, the new Fifth Edition of Guide to Financial Markets brings the reader up to date with the latest developments in financial instruments and provides a clear and incisive guide to this increasingly complex world.

With chapters on the markets that deal with money, foreign exchange, equities, bonds, commodities, futures, options, and other derivatives, this new edition looks at why these markets exist, how they work, and who trades in them, and provides a rundown of the factors that affect prices and rates.

List Price: USD $29.95    Author: Marc Levinson    Year: 2009    No. Pages: 256

Technical Analysis of the Financial Markets: A Comprehensive Guide to Trading Methods and Applications (New York Institute of Finance)Technical Analysis of the Financial Markets: A Comprehensive Guide to Trading Methods and Applications (New York Institute of Finance)
John J. Murphy has now updated his landmark bestseller Technical Analysis of the Futures Markets, to include all of the financial markets.

"If one could read only one book on technical analysis, this should be the one." --Knight-Ridder Financial Products and News (on the first edition, Technical Analysis of the Futures Markets, 0-13-898008-X)

This outstanding reference has already taught thousands of traders the concepts of technical analysis and their application in the futures and stock markets. Covering the latest developments in computer technology, technical tools, and indicators, the second edition features new material on candlestick charting, intermarket relationships, stocks and stock rotation, plus state-of-the-art examples and figures. From how to read charts to understanding indicators and the crucial role technical analysis plays in investing, readers gain a thorough and accessible overview of the field of technical analysis, with a special emphasis on futures markets. Revised and expanded for the demands of today's financial world, this book is essential reading for anyone interested in tracking and analyzing market behavior.

"One way to get started in technical analysis is to read a good book on the subject. One of my favorites is Technical Analysis of the Financial Markets: A Comprehensive Guide to Trading Methods and Applications by John J. Murphy. It's an easy read." Ralph J. Acampora, CMT, Managing Director, Prudential Securities Inc.
List Price: USD $85.00    Author: John J. Murphy    Year: 1999    No. Pages: 576


Economics of Money, Banking, and Financial Markets Business School Edition plus MyEconLab Student Access Kit (2nd Edition) (Addison-Wesley Series in Economics)Economics of Money, Banking, and Financial Markets Business School Edition plus MyEconLab Student Access Kit (2nd Edition) (Addison-Wesley Series in Economics)
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. 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 readers. 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.

Introduction: Why Study Money, Banking, and Financial Markets?; An Overview of the Financial System; What Is Money? Financial Markets: Understanding Interest Rates; The Behavior of Interest Rates; The Risk and Term Structure of Interest Rates; The Stock Market, the Theory of Rational Expectations, and the Efficient Market Hypothesis. Financial Institutions: An Economic Analysis of Financial Structure; Financial Crises and the Subprime Debacle; Banking and the Management of Financial Institutions; Economic Analysis of Financial Regulation; Banking Industry: Structure and Competition; Nonbank Finance; Financial Derivatives; Conflicts of Interest in the Financial Industry. Central Banking and the Conduct of Monetary Policy: Structure of Central Banks and the Federal Reserve System; The Money Supply Process; Tools of Monetary Policy; What Should Central Banks Do? Monetary Policy Goals, Strategy, and Tactics. International Finance and Monetary Policy: The Foreign Exchange Market; The International Financial System. Monetary Policy: The Demand for Money; Aggregate Demand and Supply Analysis; Transmission Mechanisms of Monetary Policy: The Evidence; Money and Inflation.

For all readers interested in money, banking, and financial markets.

List Price: USD $186.67    Author: Frederic S. Mishkin    Year: 2009    No. Pages: 662

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