Modern Financial Markets and Institutions
Title | Modern Financial Markets and Institutions PDF eBook |
Author | Glen Arnold |
Publisher | Pearson Education |
Pages | 0 |
Release | 2012 |
Genre | Capital market |
ISBN | 9780273730354 |
'Modern Financial Markets and Institutions' provides a comprehensive and authoritative introduction to the workings of modern financial systems, the efficiency of money markets and the role of investment bankers, illustrating how they impact our everyday lives.
Modern Financial Markets
Title | Modern Financial Markets PDF eBook |
Author | David W. Blackwell |
Publisher | John Wiley & Sons |
Pages | 516 |
Release | 2006-12-18 |
Genre | Business & Economics |
ISBN | 0470000104 |
Throughout this concise, accessible book, readers will quickly learn the fundamental concepts of managerial finance while discovering how things really work. The material is explained using an intuitive theoretical context, providing them with a richer understanding of the material and better insights into solving problems. Finance concepts are covered in a common sense manner and the use of mathematical jargon is minimized. The unifying theme for the book is the concept of valuation since it is the most fundamental concept in finance. The authors define and discuss value in terms of net present value (NPV).
Modern Financial Systems
Title | Modern Financial Systems PDF eBook |
Author | Edwin H. Neave |
Publisher | John Wiley & Sons |
Pages | 580 |
Release | 2009-10-08 |
Genre | Business & Economics |
ISBN | 0470538139 |
A valuable guide to the essential elements of modern financial systems This book offers you a unified theory of modern financial system activity. In it, author Edwin Neave distills a large body of literature on financial systems, the institutions that comprise the systems, and the economic impacts of the systems' operation. Through non-technical summaries, Neave provides you with a primer on how financial systems work, as well as how the many parts of any financial system relate to each other. He does so in a straightforward manner, with an emphasis on economic principles and the relationship between various aspects of financial system activity. Discusses financial governance and explains how financial markets and institutions complement each other Identifies the economic forces at work within financial systems and explores how they determine system organization and change Offers a theoretical survey of financial activity and its application to numerous practical situations Explains both static financial system organization and the dynamics of financial system evolution Following a non-technical approach, this book skillfully explores how financial systems work, as well as how the many parts of any financial system relate to each other.
Market Tremors
Title | Market Tremors PDF eBook |
Author | Hari P. Krishnan |
Publisher | Springer Nature |
Pages | 257 |
Release | 2021-09-14 |
Genre | Business & Economics |
ISBN | 3030792536 |
Since the Global Financial Crisis, the structure of financial markets has undergone a dramatic shift. Modern markets have been “zombified” by a combination of Central Bank policy, disintermediation of commercial banks through regulation, and the growth of passive products such as ETFs. Increasingly, risk builds up beneath the surface, through a combination of excessive leverage and crowded exposure to specific asset classes and strategies. In many cases, historical volatility understates prospective risk. This book provides a practical and wide ranging framework for dealing with the credit, positioning and liquidity risk that investors face in the modern age. The authors introduce concrete techniques for adjusting traditional risk measures such as volatility during this era of unprecedented balance sheet expansion. When certain agents in the financial network behave differently or in larger scale than they have in the past, traditional portfolio theory breaks down. It can no longer account for toxic feedback effects within the network. Our feedback-based risk adjustments allow investors to size their positions sensibly in dangerous set ups, where volatility is not providing an accurate barometer of true risk. The authors have drawn from the fields of statistical physics and game theory to simplify and quantify the impact of very large agents on the distribution of forward returns, and to offer techniques for dealing with situations where markets are structurally risky yet realized volatility is low. The concepts discussed here should be of practical interest to portfolio managers, asset allocators, and risk professionals, as well as of academic interest to scholars and theorists.
Solving Modern Crime in Financial Markets
Title | Solving Modern Crime in Financial Markets PDF eBook |
Author | Marius-Cristian Frunza |
Publisher | Academic Press |
Pages | 523 |
Release | 2015-12-09 |
Genre | Business & Economics |
ISBN | 0128045329 |
This comprehensive source of information about financial fraud delivers a mature approach to fraud detection and prevention. It brings together all important aspect of analytics used in investigating modern crime in financial markets and uses R for its statistical examples. It focuses on crime in financial markets as opposed to the financial industry, and it highlights technical aspects of crime detection and prevention as opposed to their qualitative aspects. For those with strong analytic skills, this book unleashes the usefulness of powerful predictive and prescriptive analytics in predicting and preventing modern crime in financial markets. Interviews and case studies provide context and depth to examples Case studies use R, the powerful statistical freeware tool Useful in classroom and professional contexts
Money, Banking, and Financial Markets
Title | Money, Banking, and Financial Markets PDF eBook |
Author | Dale K. Cline |
Publisher | Routledge |
Pages | 191 |
Release | 2022-03-22 |
Genre | Business & Economics |
ISBN | 100055256X |
This innovative text offers an introduction to money, banking, and financial markets, with a special emphasis on the importance of confidence and trust in the macroeconomic system. It also presents the theory of endogenous money creation, in contrast to the standard money multiplier and fractional reserve explanation found in other textbooks. The U.S. economy and financial institutions are used to explain the theoretical and practical framework, with international examples weaved in throughout the text. It covers key topics including monetary policy, fiscal policy, accounting principles, credit creation, central banks, and government treasuries. Additionally, the book considers the international economy, including exchange rates, the Eurozone, Chinese monetary policy, and reserve currencies. Taking a broad look at the financial system, it also looks at banking regulation, cryptocurrencies, real estate, and the oil and gold commodity markets. Students are supported with chapter objectives, key terms, and problems. A test bank is available for instructors. This is an accessible introductory textbook for courses on money and banking, macroeconomics, monetary policy, and financial markets.
Special Issue: New Facets of the Economic Complexity in Modern Financial Markets
Title | Special Issue: New Facets of the Economic Complexity in Modern Financial Markets PDF eBook |
Author | Catherine Kyrtsou |
Publisher | |
Pages | 588 |
Release | 2013 |
Genre | |
ISBN |