The Economics of Money, Banking, and Financial Markets, Global Edition (2024)

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The Economics of Money, Banking, and Financial Markets, Global Edition (1)

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Englisch [en], .pdf, 🚀/lgli/lgrs/nexusstc/zlib, 39.4MB, 📘 Buch (Sachbuch), lgrsnf/The Economics of Money, Banking - Mishkin, Frederic S.;.pdf

The Economics of Money, Banking, and Financial Markets, Global Edition 🔍

Pearson Education Limited, The Pearson Series in Economics, 12, 2018

Frederic S. Mishkin 🔍

Beschreibung

Cover
Title Page
Copyright Page
About the Author
Brief Contents
Contents in Detail
Preface
Acknowledgments
Global Acknowledgments
Summary
Part 1: Introduction
Chapter 1: Why Study Money, Banking, and Financial Markets?
Why Study Financial Markets?
Debt Markets and Interest Rates
The Stock Market
Why Study Financial Institutions and Banking?
Structure of the Financial System
Banks and Other Financial Institutions
Financial Innovation
Financial Crises
Why Study Money and Monetary Policy?
Money and Business Cycles
Money and Inflation
Money and Interest Rates
Conduct of Monetary Policy
Fiscal Policy and Monetary Policy
Why Study International Finance?
The Foreign Exchange Market
The International Financial System
Money, Banking, and Financial Markets and Your Career
How We Will Study Money, Banking, and Financial Markets
Exploring the Web
Concluding Remarks
Summary
Key Terms
Questions
Applied Problems
Data Analysis Problems
Web Exercises
Web References
Appendix to Chapter 1: Defining Aggregate Output, Income, the Price Level, and the Inflation Rate
Aggregate Output and Income
Real Versus Nominal Magnitudes
Aggregate Price Level
Growth Rates and the Inflation Rate
Chapter 2: An Overview of the Financial System
Function of Financial Markets
Structure of Financial Markets
Debt and Equity Markets
Primary and Secondary Markets
Exchanges and Over-the-Counter Markets
Money and Capital Markets
Financial Market Instruments
Money Market Instruments
Following the Financial News Money Market Rates
Capital Market Instruments
Following the Financial News Capital Market Interest Rates
Internationalization of Financial Markets
Global Are U.S. Capital Markets Losing Their Edge?
International Bond Market, Eurobonds, and Eurocurrencies
World Stock Markets
Function of Financial Intermediaries: Indirect Finance
Following the Financial News Foreign Stock Market Indexes
Transaction Costs
Global The Importance of Financial Intermediaries Relative to Securities Markets: An International Comparison
Risk Sharing
Asymmetric Information: Adverse Selection and Moral Hazard
Economies of Scope and Conflicts of Interest
Types of Financial Intermediaries
Depository Institutions
Contractual Savings Institutions
Investment Intermediaries
Regulation of the Financial System
Increasing Information Available to Investors
Ensuring the Soundness of Financial Intermediaries
Financial Regulation Abroad
Summary
Key Terms
Questions
Applied Problems
Data Analysis Problems
Web Exercises
Web References
Chapter 3: What Is Money?
Meaning of Money
Functions of Money
Medium of Exchange
Unit of Account
Store of Value
Evolution of the Payments System
Commodity Money
Fiat Money
Checks
Electronic Payment
E-Money
FYI: Are We Headed for a Cashless Society?
Application: Will Bitcoin Become the Money of the Future?
Measuring Money
The Federal Reserve’s Monetary Aggregates
Following the Financial News The Monetary Aggregates
FYI: Where Are All the U.S. Dollars?
Summary
Key Terms
Questions
Applied Problems
Data Analysis Problems
Web Exercises
Web References
Part 2: Financial Markets
Chapter 4: The Meaning of Interest Rates
Measuring Interest Rates
Present Value
Application: Simple Present Value
Application: How Much Is That Jackpot Worth?
Four Types of Credit Market Instruments
Yield to Maturity
Application: Yield to Maturity on a Simple Loan
Application: Yield to Maturity and the Yearly Payment on a Fixed-Payment Loan
Application: Yield to Maturity and Bond Price for a Coupon Bond
Application: Yield to Maturity on a Perpetuity
Application: Yield to Maturity on a Discount Bond
The Distinction Between Interest Rates and Returns
Global Negative Interest Rates? Japan First, Then the United States, Then Europe
Maturity and the Volatility of Bond Returns: Interest-Rate Risk
Summary
The Distinction Between Real and Nominal Interest Rates
Application: Calculating Real Interest Rates
Summary
Key Terms
Questions
Applied Problems
Data Analysis Problems
Web Exercises
Web References
Chapter 5: The Behavior of Interest Rates
Determinants of Asset Demand
Wealth
Expected Returns
Risk
Liquidity
Theory of Portfolio Choice
Supply and Demand in the Bond Market
Demand Curve
Supply Curve
Market Equilibrium
Supply and Demand Analysis
Changes in Equilibrium Interest Rates
Shifts in the Demand for Bonds
Shifts in the Supply of Bonds
Application: Changes in the Interest Rate Due to a Change in Expected Inflation: The Fisher Effect
Application: Changes in the Interest Rate Due to a Business Cycle Expansion
Application: Explaining Current Low Interest Rates in Europe, Japan, and the United States: Low Inflation and Secular Stagnation
Supply and Demand in the Market for Money: The Liquidity Preference Framework
Changes in Equilibrium Interest Rates in the Liquidity Preference Framework
Shifts in the Demand for Money
Shifts in the Supply of Money
Application: Changes in the Equilibrium Interest Rate Due to Changes in Income, the Price Level, or the Money Supply
Changes in Income
Changes in the Price L

Kommentare in Metadaten

{"edition":"12","isbns":["0134733827","1292268859","1292268921","9780134733821","9781292268859","9781292268927"],"publisher":"Pearson Education Limited"}

Kommentare in Metadaten

Source title: Economics of Money, Banking and Financial Markets (12th Edition) (What's New in Economics)

Kommentare in Metadaten

lg2520093

Alternativtitel

Economics of Money, Banking and Financial Markets, The (What's New in Economics)

Alternativtitel

Mishkin

Alternativer Autor

Mishkin, Frederic S.

Alternativer Verlag

Pearson Higher Education & Professional Group

Alternative Ausgabe

The Pearson Series in Economics, Twelfth edition, New York, NY, 2019

Alternative Ausgabe

Twelfth edition, New York, 2018

Alternative Ausgabe

12, 2018-12-06

Alternative Ausgabe

Jan 20, 2018

Alternative Ausgabe

12, 2019

Alternative Beschreibung

For courses in money and banking, or general economics. A unified framework for understanding financial markets The Economics of Money, Banking and Financial Markets brings a fresh perspective to today's major questions surrounding financial policy. Influenced by his term as Governor of the Federal Reserve, Frederic Mishkin offers students a unique viewpoint and informed insight into the monetary policy process, the regulation and supervision of the financial system, and the internationalization of financial markets. The 12th Edition, Global Edition, provides a unifying, analytic framework for learning that fits a wide variety of syllabi. Core economic principles and real-world examples organize students' thinking and keeps them motivated. MyLabT Economics is not included. Students, if MyLab Economics is a recommended/mandatory component of the course, please ask your instructor for the correct ISBN. MyLab Economics should only be purchased when required by an instructor. Instructors, contact your Pearson representative for more information. Reach every student by pairing this text with MyLab Economics MyLabT is the teaching and learning platform that empowers you to reach every student. By combining trusted author content with digital tools and a flexible platform, MyLab personalizes the learning experience and improves results for each student.

Alternative Beschreibung

Revised Edition Of The Author's The Economics Of Money, Banking, And Financial Markets, [2016]

Alternativer Dateiname

nexusstc/The Economics of Money, Banking, and Financial Markets, Global Edition/bcfdc54da80fc59d8158347ee8bd5cd6.pdf

frei veröffentlicht am

2020-05-10

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