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图书 金融市场与金融机构(英文版第12版经济学经典教材高等学校经济类双语教学推荐教材)/金融系列
内容
作者简介
杰夫·马杜拉,佛罗里达亚特兰大大学金融系教授。他所著的经典金融学教材《金融市场与金融机构》《国际金融管理》等,被各个大学广泛使用,并翻译成多种文字出版。他在Journal of Financial and Quantitative Analysis,Journal of Money,Cedit and Banking等杂志上发表了大量有关银行与金融市场研究方面的学术论文。他还为跨国银行、证券公司和其他跨国企业提供咨询服务。
目录
Preface
PART 1: Overview of the Financial Environment
1: ROLE OF FINANCIAL MARKETS AND INSTITUTIONS
1-1 Role of Financial Markets
1-2 Securities Traded in Financial Markets
1-3 Role of Financial Institutions
1-4 Credit Crisis for Financial Institutions
PART 2: The Fed and Monetary Policy
2: MONETARY POLICY
2-1 Mechanics of Monetary Policy
2-2 Implementing Monetary Policy
2-3 Trade-off in Monetary Policy
2-4 Monitoring the Impact of Monetary Policy
2-5 Global Monetary Policy
PART 3: Debt Security Markets
3: MONEY MARKETS
3-1 Money Market Securities
3-2 Institutional Use of Money Markets
3-3 Valuation of Money Market Securities
3-4 Globalization of Money Markets
4: BOND MARKETS
4-1 Background on Bonds
4-2 Treasury and Federal Agency Bonds
4-3 Municipal Bonds
4-4 Corporate Bonds
4-5 Globalization of Bond and Loan Markets
4-6 Other Types of Long-Term Debt Securities
5: BOND VALUATION AND RISK
5-1 Bond Valuation Process
5-2 Explaining Bond Price Movements
5-3 Sensitivity of Bond Prices to Interest Rate Movements
5-4 Bond Investment Strategies
5-5 Valuation and Risk of International Bonds
6: MORTGAGE MARKETS
6-1 Background on Mortgages
6-2 Types of Residential Mortgages
6-3 Valuation of Mortgages
6-4 Mortgage-Backed Securities
6-5 Credit Crisis
PART 4: Equity Markets
7: STOCK OFFERINGS AND INVESTOR MONITORING
7-1 Private Equity
7-2 Public Equity
7-3 Initial Public Offerings
7-4 Stock Offerings and Repurchases
7-5 Stock Exchanges
7-6 Monitoring Publicly Traded Companies
7-7 Market for Corporate Control
7-8 Globalization of Stock Markets
8: STOCK VALUATION AND RISK
8-1 Stock Valuation Methods
8-2 Required Rate of Return on Stocks
8-3 Factors That Affect Stock Prices
8-4 Stock Risk
8-5 Risk-Adjusted Stock Performance
8-6 Stock Market Efficiency
8-7 Foreign Stock Valuation and Performance
9: MARKET MICROSTRUCTURE AND STRATEGIES
9-1 Stock Market Transactions
9-2 How Stock Transactions Are Executed
9-3 High Frequency Trading
9-4 Regulation of Stock Trading
9-5 Trading International Stocks
PART 5: Derivative Security Markets
10: FINANCIAL FUTURES MARKETS
10-1 Background on Financial Futures
10-2 Interest Rate Futures Contracts
10-3 Stock Index Futures
10-4 Single Stock Futures
10-5 Risk of Trading Futures Contracts
10-6 Globalization of Futures Markets
11: OPTION MARKETS
11-1 Background on Options
11-2 Determinants of Stock Option Premiums
11-3 Speculating with Stock Options
11-4 Hedging with Stock Options
11-5 Options on ETFs and Stock Indexes
11-6 Options on Futures Contracts
11-7 Options as Executive Compensation
11-8 Globalization of Options Markets
12: SWAP MARKETS
12-1 Background
12-2 Types of Swaps
12-3 Risks of Interest Rate Swaps
12-4 Pricing Interest Rate Swaps
12-5 Performance of Interest Rate Swaps
12-6 Interest Rate Caps, Floors, and Collars
12-7 Credit Default Swaps
12-8 Globalization of Swap Markets
13: FOREIGN EXCHANGE DERIVATIVE MARKETS
13-1 Foreign Exchange Markets
13-2 Factors Affecting Exchange Rates
13-3 Forecasting Exchange Rates
13-4 Foreign Exchange Derivatives
13-5 International Arbitrage
PART 6: Commercial Banking
14: COMMERCIAL BANK OPERATIONS
14-1 Background on Commercial Banks
14-2 Bank Sources of Funds
14-3 Bank Uses of Funds
14-4 0ff-Balance Sheet Activities
14-5 International Banking
15: BANK REGULATION
15-1 Regulatory Structure
15-2 Regulation of Bank Operations
15-3 Regulation of Capital
15-4 How Regulators Monitor Banks
15-5 Government Rescue of Fa
内容推荐
《金融市场与金融机构》(英文版·第十二版)通过分析金融市场以及服务于金融市场的金融机构,使读者了解金融市场存在的原因、金融机构如何为金融市场提供服务以及提供哪些服务。本书对金融服务的探讨是按金融机构所能提供的金融服务类型展开论述的,重点围绕金融机构的管理、绩效和监管,探讨了美联储系统、主要债务和股权证券市场以及衍生证券市场的功能。本书还反映了次贷危机以来该领域的最新发展,特别是监管改革的最新动态。
授课教师可根据具体情况来决定关注本书某些章节并略过其他章节,章节可重新安排并不失连贯性。
本书适用于本科与研究生水平金融市场或金融机构相关课程。本书对金融机构从业人员也极具参考价值。
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书名 金融市场与金融机构(英文版第12版经济学经典教材高等学校经济类双语教学推荐教材)/金融系列
副书名
原作名
作者 杰夫·马杜拉
译者
编者
绘者
出版社 中国人民大学出版社
商品编码(ISBN) 9787300277134
开本 16开
页数 589
版次 1
装订 平装
字数 1219
出版时间 2020-01-01
首版时间 2020-01-01
印刷时间 2020-01-01
正文语种
读者对象 本科及以上
适用范围
发行范围 公开发行
发行模式 实体书
首发网站
连载网址
图书大类 经济金融-金融会计-金融
图书小类
重量 1122
CIP核字 2019272531
中图分类号 F830.9,F830.3
丛书名
印张 38
印次 1
出版地 北京
274
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24
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