An Introduction To Global Financial Markets Fifth Edition
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Author | : Frank J. Fabozzi |
Publisher | : MIT Press |
Total Pages | : 1105 |
Release | : 2019-04-30 |
Genre | : Business & Economics |
ISBN | : 0262351722 |
A thoroughly revised and updated edition of a textbook for graduate students in finance, with new coverage of global financial institutions. This thoroughly revised and updated edition of a widely used textbook for graduate students in finance now provides expanded coverage of global financial institutions, with detailed comparisons of U.S. systems with non-U.S. systems. A focus on the actual practices of financial institutions prepares students for real-world problems. After an introduction to financial markets and market participants, including asset management firms, credit rating agencies, and investment banking firms, the book covers risks and asset pricing, with a new overview of risk; the structure of interest rates and interest rate and credit risks; the fundamentals of primary and secondary markets; government debt markets, with new material on non-U.S. sovereign debt markets; corporate funding markets, with new coverage of small and medium enterprises and entrepreneurial ventures; residential and commercial real estate markets; collective investment vehicles, in a chapter new to this edition; and financial derivatives, including financial futures and options, interest rate derivatives, foreign exchange derivatives, and credit risk transfer vehicles such as credit default swaps. Each chapter begins with learning objectives and ends with bullet point takeaways and questions.
Author | : Frank J. Fabozzi |
Publisher | : MIT Press |
Total Pages | : 1087 |
Release | : 2015-10-23 |
Genre | : Business & Economics |
ISBN | : 0262029480 |
The substantially revised fifth edition of a textbook covering the wide range of instruments available in financial markets, with a new emphasis on risk management. Over the last fifty years, an extensive array of instruments for financing, investing, and controlling risk has become available in financial markets, with demand for these innovations driven by the needs of investors and borrowers. The recent financial crisis offered painful lessons on the consequences of ignoring the risks associated with new financial products and strategies. This substantially revised fifth edition of a widely used text covers financial product innovation with a new emphasis on risk management and regulatory reform. Chapters from the previous edition have been updated, and new chapters cover material that reflects recent developments in financial markets. The book begins with an introduction to financial markets, offering a new chapter that provides an overview of riskâincluding the key elements of financial risk management and the identification and quantification of risk. The book then covers market participants, including a new chapter on collective investment products managed by asset management firms; the basics of cash and derivatives markets, with new coverage of financial derivatives and securitization; theories of risk and return, with a new chapter on return distributions and risk measures; the structure of interest rates and the pricing of debt obligations; equity markets; debt markets, including chapters on money market instruments, municipal securities, and credit sensitive securitized products; and advanced coverage of derivative markets. Each chapter ends with a review of key points and questions based on the material covered.
Author | : Andrew M. Chisholm |
Publisher | : John Wiley & Sons |
Total Pages | : 464 |
Release | : 2003-02-28 |
Genre | : Business & Economics |
ISBN | : 0470851341 |
This book provides a comprehensive introduction to the global capital markets, explaining the key instruments used in the markets and their practical applications. Containing numerous illustrations and examples it explains how each product or instrument is structured, how it is used in practice, what the principle risks are and how these are monitored and controlled. An Introduction to Capital Markets is an ideal resource for those wanting to understand how the global capital markets operate.
Author | : Szymon Borak |
Publisher | : Springer Science & Business Media |
Total Pages | : 266 |
Release | : 2013-01-11 |
Genre | : Business & Economics |
ISBN | : 3642339298 |
Practice makes perfect. Therefore the best method of mastering models is working with them. This book contains a large collection of exercises and solutions which will help explain the statistics of financial markets. These practical examples are carefully presented and provide computational solutions to specific problems, all of which are calculated using R and Matlab. This study additionally looks at the concept of corresponding Quantlets, the name given to these program codes and which follow the name scheme SFSxyz123. The book is divided into three main parts, in which option pricing, time series analysis and advanced quantitative statistical techniques in finance is thoroughly discussed. The authors have overall successfully created the ideal balance between theoretical presentation and practical challenges.
Author | : Stephen Valdez |
Publisher | : Palgrave Macmillan |
Total Pages | : 384 |
Release | : 2007-02-06 |
Genre | : Business & Economics |
ISBN | : 9780230006355 |
This book offers a broad and balanced introduction to financial markets across the world, describing the various financial sectors in clear, easy to understand terms. The book provides comprehensive coverage of commercial and investment banking, foreign exchange, money and bond markets, trade finance, stock markets, options, futures, and other derivatives products. It is the ideal primer for those who require a basic understanding of, or who are new to, the world of finance: for example, new recruits, students of finance, or students of economics, business, management, and accounting who require a grounding in the area. Companion Website: http://www.palgrave.com/business/valdez/index.htm
Author | : Stephen Valdez |
Publisher | : |
Total Pages | : 348 |
Release | : 1997 |
Genre | : Business & Economics |
ISBN | : 9780333693940 |
Describing the various financial sectors in clear and easy-to-understand terms, this book reflects the fact that the world is moving towards a single global market and provides a broad and balanced introduction to financial markets across the world. These include the impact of September 11th and the relative collapse of the world stock markets; new capital ratios for banks; current retail banking developments; the results of the latest world FX survey; the problems faced by the European Economic Union; attempts to reform Lloyd's of London and a review of current trends. foreign exchange, money and bond markets, trade finance, stock markets and options, futures and other derivatives, this book provides a primer for those who require a basic understanding or are new to the world of finance.
Author | : Mike Buckle |
Publisher | : Manchester University Press |
Total Pages | : 479 |
Release | : 2016-10-21 |
Genre | : Business & Economics |
ISBN | : 1526105047 |
The UK financial system, now in its fifth edition, provides an up-to-date discussion of the UK financial system and the changes affecting it. Throughout the world the nature and regulation of financial systems have changed dramatically following the global financial crisis. In this text the necessary underlying theory is introduced and a range of relevant statistics provided in each chapter to supplement the narrative. Coverage includes a critique of the UK financial institutions and markets, as well as regulation emanating both from within the UK and also from supranational bodies such as the Bank for International Settlements and the European Union. The discussion is based on both the underlying theory as well as the operating practices of the institutions and markets. Each supplemented by a comprehensive glossary, the book is subdivided into three main sections: financial institutions; financial markets; and the regulation of banks and other financial institutions. The book will be essential reading to lecturers and undergraduate students enrolled on courses in financial economics and banking.
Author | : Alex Kuznetsov |
Publisher | : McGraw Hill Professional |
Total Pages | : 576 |
Release | : 2006-11-22 |
Genre | : Business & Economics |
ISBN | : 0071709525 |
The Complete Guide to Capital Markets for Quantitative Professionals is a comprehensive resource for readers with a background in science and technology who want to transfer their skills to the financial industry. It is written in a clear, conversational style and requires no prior knowledge of either finance or financial analytics. The book begins by discussing the operation of the financial industry and the business models of different types of Wall Street firms, as well as the job roles those with technical backgrounds can fill in those firms. Then it describes the mechanics of how these firms make money trading the main financial markets (focusing on fixed income, but also covering equity, options and derivatives markets), and highlights the ways in which quantitative professionals can participate in this money-making process. The second half focuses on the main areas of Wall Street technology and explains how financial models and systems are created, implemented, and used in real life. This is one of the few books that offers a review of relevant literature and Internet resources.
Author | : Maurice Obstfeld |
Publisher | : Cambridge University Press |
Total Pages | : 382 |
Release | : 2004-02-19 |
Genre | : Business & Economics |
ISBN | : 9780521633178 |
Author | : Stephen Valdez |
Publisher | : Bloomsbury Publishing |
Total Pages | : 552 |
Release | : 2017-09-16 |
Genre | : Business & Economics |
ISBN | : 1137508337 |
This textbook provides an accessible introduction to finance and financial markets around the world. Requiring no previous knowledge of the subject, the authors comprehensively cover a broad range of different types of banking, markets, foreign exchange and derivative products. Incorporating recent events and current developments in finance, contemporary, international examples are used throughout to illustrate this fast-moving subject area. With Stephen Valdez's decades of experience as a financial trainer and Philip Molyneux's academic experience, they are the perfect team for this accessible and applied textbook. This textbook is core reading for second and third year undergraduate students studying modules in financial markets and institutions as part of business and management degree courses. In addition it is suitable for use on MBA finance courses. New to this Edition: - Provides updated and expanded coverage of the global financial crisis of 2007-08 and its aftermath - Explains and contextualises the major structural and regulatory reforms of global banking and financial markets - A new design to make it more student-friendly, such as illustrative boxes that explain key financial issues