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The economics of money, banking and financial markets / Frederic S. Mishkin.

By: Publication details: Boston: Pearson, 2013.Edition: Tenth editionDescription: xli, 726 pages: color illustrations; 25 cmISBN:
  • 9780273765738
Subject(s):
Contents:
Part 1: Introduction -- Chapter 1: Why study money, banking, and financial markets? -- Chapter 2: An overview of the financial system -- Chapter 3: What is money? -- Part 2: Financial markets -- Chapter 4: Understanding interest rates -- Chapter 5: The behavior of interest rates -- Chapter 6: The risk and term structure of interest rates -- Chapter 7: The stock market, the theory of rational expectations, and the efficient market hypothesis -- Part 3: Financial institutions -- Chapter 8: An economic analysis of financial structure -- Chapter 9: Financial crises in advanced economics -- Chapter 10: Financial crises in emerging market economics -- Chapter 11: Banking and the management of financial institutions -- Chapter 12: Economic analysis of financial regulation -- Chapter 13: Banking industry: structure and competition -- Part 4: Central banking and the conduct of monetary policy -- Chapter 14: Central banks: a global perspective -- Chapter 15: The money supply process -- Chapter 16: The tools of monetary policy -- Chapter 17: The conduct of monetary policy: strategy and tactics -- Part 5: International finance and monetary policy -- Chapter 18: The foreign exchange market -- Chapter 19: The international financial system -- Part 6: Monetary theory -- Chapter 20: Quantity theory, inflation, and the demand for money -- Chapter 21: The IS curve -- Chapter 22: The monetary policy and aggregate demand curves -- Chapter 23: Aggregate demand and supply analysis -- Chapter 24: Monetary policy theory -- Chapter 25: The role of expectations in monetary policy -- Chapter 26: Transmission mechanisms of monetary policy
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Item type Current library Call number Status Barcode
BOOKS MAIN HG 173 M57 2013 (Browse shelf(Opens below)) Available 01700

Mishkin, F. S. (2013). The economics of money, banking and financial markets (10th ed.). Boston: Pearson.

Part 1: Introduction -- Chapter 1: Why study money, banking, and financial markets? -- Chapter 2: An overview of the financial system -- Chapter 3: What is money? -- Part 2: Financial markets -- Chapter 4: Understanding interest rates -- Chapter 5: The behavior of interest rates -- Chapter 6: The risk and term structure of interest rates -- Chapter 7: The stock market, the theory of rational expectations, and the efficient market hypothesis -- Part 3: Financial institutions -- Chapter 8: An economic analysis of financial structure -- Chapter 9: Financial crises in advanced economics -- Chapter 10: Financial crises in emerging market economics -- Chapter 11: Banking and the management of financial institutions -- Chapter 12: Economic analysis of financial regulation -- Chapter 13: Banking industry: structure and competition -- Part 4: Central banking and the conduct of monetary policy -- Chapter 14: Central banks: a global perspective -- Chapter 15: The money supply process -- Chapter 16: The tools of monetary policy -- Chapter 17: The conduct of monetary policy: strategy and tactics -- Part 5: International finance and monetary policy -- Chapter 18: The foreign exchange market -- Chapter 19: The international financial system -- Part 6: Monetary theory -- Chapter 20: Quantity theory, inflation, and the demand for money -- Chapter 21: The IS curve -- Chapter 22: The monetary policy and aggregate demand curves -- Chapter 23: Aggregate demand and supply analysis -- Chapter 24: Monetary policy theory -- Chapter 25: The role of expectations in monetary policy -- Chapter 26: Transmission mechanisms of monetary policy

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