The Economics of Money, Banking and Financial Markets (12 Ed.) | 誠品線上

The Economics of Money, Banking and Financial Markets (12 Ed.)

作者 Frederic S. Mishkin
出版社 華泰文化事業股份有限公司
商品描述 The Economics of Money, Banking and Financial Markets (12 Ed.):TheEconomicsofMoney,BankingandFinancialMarketsstrengthensstudents'applicationanddecision-marking

內容簡介

內容簡介 The Economics of Money, Banking and Financial Markets strengthens students' application and decision-marking skills, and it does so with a focus on real-world examples. Easy-to-follow graphics, crisp definitions, and a thoroughly accessible text highlight the applications of economics, making them relatable through everyday examples and concerns. New to This Edition The twelfth edition provides more rigor and clarity through internationally relevant topics and example, including the following new sections, boxes, and applications: Enliven students’study of money, banking, and financial markets 1. Chapter 1 teaches students about career opportunities available beyond Wall Street or in a bank. 2. Chapter 4 illustrates negative interest rates in countries like Japan, the United States, and Europe. 3. Chapter 5 shows how the supply and demand model explains current interest rate movements. 4. Chapter 12 discusses and analyzes how the financial crises that originated in the United States also impacts other advanced global economies. 5. Chapter 13 discusses the crisis-stricken Mexico, Thailand, and South Korea’s external debt and highlights the same using appropriate diagrams. 6. Chapter 14 highlights major banking systems around the world—the European Central Bank, the Federal Reserve, the Bank of Japan—their origins, structure, and functions. 7. Chapter 18 highlights an application on Burgernomics, Big Macs, and Purchasing Power Parity, as a fun way of showing students how purchasing power parity works in practice.

作者介紹

作者介紹 ■作者簡介Frederic S. Mishkin現職:Columbia University

產品目錄

產品目錄 PART I: INTRODUCTIONCh 1 Why Study Money, Banking, and Financial Markets?Ch 2 An Overview of the Financial SystemCh 3 What Is Money?PART II: FINANCIAL MARKETSCh 4 The Meaning of Interest RatesCh 5 The Behavior of Interest RatesCh 6 The Risk and Term Structure of Interest RatesCh 7 The Stock Market, the Theory of Rational Expectations, and the Efficient Market HypothesisPART III: FINANCIAL INSTITUTIONSCh 8 An Economic Analysis of Financial StructureCh 9 Banking and the Management of Financial InstitutionsCh10 Economic Analysis of Financial RegulationCh11 Banking Industry: Structure and CompetitionCh12 Financial Crises in Advanced EconomiesCh13 Financial Crises in Emerging EconomiesPART IV: CENTRAL BANKING AND THE CONDUCT OF MONETARY POLICYCh14 Central BanksCh15 The Money Supply ProcessCh16 Tools of Monetary PolicyCh17 The Conduct of Monetary Policy: Strategy and TacticsPART V: INTERNATIONAL FINANCE AND MONETARY POLICYCh18 The Foreign Exchange MarketCh19 The International Financial SystemPART VI: MONETARY THEORYCh20 Quantity Theory, Inflation, and the Demand for MoneyCh21 The IS CurveCh22 The Monetary Policy and Aggregate Demand CurvesCh23 Aggregate Demand and Supply AnalysisCh24 Monetary Policy TheoryCh25 The Role of Expectations in Monetary PolicyCh26 Transmission Mechanisms of Monetary Policy

商品規格

書名 / The Economics of Money, Banking and Financial Markets (12 Ed.)
作者 / Frederic S. Mishkin
簡介 / The Economics of Money, Banking and Financial Markets (12 Ed.):TheEconomicsofMoney,BankingandFinancialMarketsstrengthensstudents'applicationanddecision-marking
出版社 / 華泰文化事業股份有限公司
ISBN13 / 9781292268859
ISBN10 / 1292268859
EAN / 9781292268859
誠品26碼 / 2681753461003
頁數 / 738
注音版 /
裝訂 / P:平裝
語言 / 3:英文
尺寸 / 25.5X20.3X2.3CM
級別 / N:無

最佳賣點

最佳賣點 : 貨幣銀行/貨幣理論及政策