內容簡介
內容簡介 1.Aimed at the first course in financial markets and institutions. 2.Offers a distinct analysis of the risks faced by investors and savers interacting through both financial institutions and financial markets. 3.Recognizes that foreign and domestic financial markets are increasingly integrated. 4.Provides analytical rigor that is mathematically accessible to students of all levels.
產品目錄
產品目錄 PART I: INTRODUCTION AND OVERVIEW OF FINANCIAL MARKETS Ch 1 Introduction Ch 2 Determinants of Interest Rates Ch 3 Interest Rates and Security Valuation Ch 4 The Federal Reserve System, Monetary Policy, and Interest Rates PART II: SECURITIES MARKETS Ch 5 Money Markets Ch 6 Bond Markets Ch 7 Mortgage Markets Ch 8 Stock Markets Ch 9 Foreign Exchange Markets Ch10 Derivative Securities Markets PART III: COMMERCIAL BANKS Ch11 Commercial Banks Ch12 Commercial Banks’ Financial Statements and Analysis Ch13 Regulation of Commercial Banks PART IV: OTHER FINANCIAL INSTITUTIONS Ch14 Other Lending Institutions Ch15 Insurance Companies Ch16 Securities Firms and Investment Banks Ch17 Investment Companies Ch18 Pension Funds Ch19 Fintech Companies PART V: RISK MANAGEMENT IN FINANCIAL INSTITUTIONS Ch20 Types of Risks Incurred by Financial Institutions Ch21 Managing Credit Risk on the Balance Sheet Ch22 Managing Liquidity Risk on the Balance Sheet Ch23 Managing Interest Rate Risk and Insolvency Risk on theBalance Sheet Ch24 Managing Risk off the Balance Sheet with DerivativeSecurities Ch25 Managing Risk off the Balance Sheet with Loan Sales andSecuritization