The economics of money, banking, and financial markets /
"A college economics textbook for general and business students specializing in money, banking, and financial markets"--
Yazar: | |
---|---|
Materyal Türü: | Kitap |
Dil: | English |
Baskı/Yayın Bilgisi: |
Harlow, England :
Pearson,
2022.
|
Edisyon: | Thirteenth edition. |
Konular: | |
Classic Catalogue: | View this record in Classic Catalogue |
İçindekiler:
- Introduction
- Why study money, banking, and financial markets?
- An overview of the financial system
- What Is money
- Financial markets
- The meaning of interest rates
- The behavior of interest rates
- The risk and term structure of interest rates
- The stock market, the theory of rational expectations, and the efficient market hypothesis
- Financial institutions
- An economic analysis of financial structure
- Banking and the management of financial institutions
- Economic analysis of financial regulation
- Banking industry: structure and competition
- Financial crises
- Central banking and the conduct of monetary policy
- Central banks and the federal reserve system
- The money supply process
- Tools of monetary policy
- The conduct of monetary policy: strategy and tactics
- International finance and monetary policy
- The foreign exchange market
- The international financial system
- Monetary theory
- Quantity theory, Inflation, and the demand for money
- The IS curve
- The monetary policy and aggregate demand curves
- Aggregate demand and supply analysis
- Monetary policy theory
- The role of expectations in monetary policy
- Transmission mechanisms of monetary policy.