The economics of money, banking and financial markets

4th Canadian ed.
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Last edited by bitnapper
March 22, 2025 | History

"For Second or Third Level Courses in Money and Banking. Never has the study of Money and Banking been as relevant as it is today. The Economics of Money, Banking, and the Financial Markets gives the most comprehensive coverage on the current financial crisis in relation to financial markets, financial institutions, the central bank, monetary policy and fiscal policy. The authoritative approach, use of real life examples and effective pedagogy have been maintained in this issue while an increased focus on finance has been introduced. For the first time, MyEconLab will be packaged with the text at no extra cost. MyEconLab is a premier online assessment and tutorial system, pairing rich online content with innovative learning tools." Publisher's note.

"New To This Edition Coverage of the Financial Crisis: New chapters have been added as well as many new and revised sections, applications and boxes to address the changes since the financial crisis. New Chapter 9 is devoted to analyzing the recent financial crisis and the institutions involved. Chapter 9: Financial Crises and the Subprime Meltdown outlines the events that led up to the recent financial crisis and attempts to make sense of how and why it occurred. New Chapter 12: Nonbank Financial Institutions examines how institutions engaged in nonbank finance (insurance companies, pension funds, finance companies, mutual funds, hedge funds, and private equity and venture capital funds) operate and how they are regulated. It also examines recent trends in nonbank finance and how nonbank financial institutions were affected by the subprime meltdown A new end-of-chapter feature called Quantitative Problems has been added. This section also features CANSIM questions. 2-4 new end-of-chapter problems in each chapter New part introductions have been added." Publisher's note.

Publish Date
Language
English

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Previews available in: English Chinese

Edition Availability
Cover of: The economics of money, banking & financial markets
The economics of money, banking & financial markets
2013, Pearson, Brand: Prentice Hall, Pearson College Div
in English - 10th ed.
Cover of: The Economics of Money, Banking and Financial Markets, Fifth Canadian Edition
The Economics of Money, Banking and Financial Markets, Fifth Canadian Edition
Jun 07, 2013, Pearson Canada
hardcover
Cover of: 货币、银行和金融市场经济学
货币、银行和金融市场经济学: The Economics of Money, Banking and Financial Markets
2011
in Chinese and English - Reprinted ed.
Cover of: The economics of money, banking and financial markets
The economics of money, banking and financial markets
2011, Pearson Addison Wesley
in English - 4th Canadian ed.
Cover of: Study guide, the economics of money, banking, and financial markets, third Canadian edition
Study guide, the economics of money, banking, and financial markets, third Canadian edition
2008, Pearson/Addison Wesley
in English
Cover of: Economics of Money Banking& Financial Market
Economics of Money Banking& Financial Market
July 2006, Not Avail
Paperback in English - 8Rev Ed edition
Cover of: The Economics of Money, Banking, and Financial Markets
The Economics of Money, Banking, and Financial Markets
October 18, 2006, AIPI
Paperback in English - 7 edition
Cover of: The economics of money, banking and financial markets
The economics of money, banking and financial markets
2005, Pearson Addison Wesley
in English - 2nd Canadian ed.
Cover of: The economics of money, banking, and financial markets
The economics of money, banking, and financial markets
1995, HarperCollins College Publishers
in English - 4th ed.
Cover of: Readings for the Economics of money, banking, and financial markets
Readings for the Economics of money, banking, and financial markets
1993, HarperCollins
in English

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Book Details


Table of Contents

PART I Introduction : 1 Why Study Money, Banking, and Financial Markets?
2 An Overview of the Financial System
3 What Is Money?
PART II Financial Markets : 4 Understanding Interest Rates
5 The Behaviour of Interest Rates
6 The Risk and Term Structure of Interest Rates
7 The Stock Market, the Theory of Rational Expectations, and Efficient Markets
PART III Financial Institutions : 8 An Economic Analysis of Financial Structure
9 Financial Crises and the Subprime Meltdown
10 Economic Analysis of Financial Regulation
11 Banking Industry: Structure and Competition
12 Nonbank Financial Institutions
PART IV The Management of Financial Institutions : 13 Banking and the Management of Financial Institutions
14 Risk Management with Financial Derivatives
PART V Central Banking and the Conduct of Monetary Policy : 15 Central Banks and the Bank of Canada
16 The Money Supply Process
17 The Tools of Monetary Policy
18 The Conduct of Monetary Policy: Strategy and Tactics
PART VI International Finance and Monetary Policy : 19 The Foreign Exchange Market
20 The International Financial System
PART VII Monetary Theory : 21 The Demand for Money
22 The ISLM Model
23 Monetary and Fiscal Policy in the ISLM Model
24 Aggregate Demand and Supply Analysis
25 Transmission Mechanisms of Monetary Policy: The Evidence
26 Money and Inflation
27 Rational Expectations: Implications for Policy
Glossary
Index
Web Appendix to Chapter 1: Defining Aggregate Output, Income, the Price Level, and the Inflation Rate
Web Appendix to Chapter 4: Measuring Interest Rate Risk: Duration
Web Appendix 1 to Chapter 5: Models of Asset Pricing
Web Appendix 2 to Chapter 5: Applying the Asset Market Approach to a Commodity Market: The Case of Gold
Web Appendix to Chapter 7: Evidence on the Efficient Market Hypothesis
Web Appendix to Chapter 10:Banking Crises Throughout the World
Web Appendix 1 to Chapter 13:Measuring Bank Performance
Web Appendix 2 to Chapter 13:Nonbanking Financial Institutions and Duration Analysis
Web Appendix 1 to Chapter 16:The Bank of Canada's Balance Sheet and the Monetary Base
Web Appendix 2 to Chapter 16:The M2+ Money Multiplier
Web Appendix to Chapter 20:The Canadian Balance of Payments
Web Appendix 1 to Chapter 21:A Mathematical Treatment of the Baumol-Tobin and Tobin Mean Variance Models
Web Appendix 2 to Chapter 21:Empirical Evidence on the Demand for Money
Web Appendix to Chapter 23:Algebra of the ISLM Model
Web Mini-Case for Chapter 4:Interest Rates, Bond Yields, and Duration
Web Mini-Case for Chapter 5:The Behaviour of Interest Rates
Web Mini-Case for Chapter 6:Yield Curve Hypotheses and the Effects of Economic Events
Web Mini-Case for Chapter 7:Adaptive Expectations, Rational Expectations, and Optimal Forecasts
Web Mini-Case for Chapter 11: The Changing Landscape for Domestic and Global Financial Markets
Web Mini-Case 1 for Chapter 13:Bank Performance Analysis
Web Mini-Case 2 for Chapter 13:Calculating and Comparing Gap, Duration, and Risk Management Alternatives
Web Mini-Case for Chapter 14: Micro Hedge, Macro Hedge, Managing Interest Rate Risk, and Duration
Web Mini-Case for Chapter 19: The Foreign Exchange Market and Financial Derivatives

Edition Notes

Includes bibliographical references and index.

Published in
Toronto

Classifications

Dewey Decimal Class
332
Library of Congress
HG173 .M57 2011

Edition Identifiers

Open Library
OL32095537M
ISBN 10
0321584716
ISBN 13
9780321584717
OCLC/WorldCat
463766378

Work Identifiers

Work ID
OL452451W

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History

Download catalog record: RDF / JSON / OPDS | Wikipedia citation
March 22, 2025 Edited by bitnapper Merge works (MRID: 201226)
December 19, 2023 Edited by ImportBot import existing book
December 9, 2022 Edited by ImportBot import existing book
March 26, 2021 Created by MARC Bot Imported from Internet Archive item record