Financial Markets and Institutions Mishkin 8th Edition Test Bank

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  • ISBN-10 ‏ : ‎ 013342362X
  • ISBN-13 ‏ : ‎ 978-0133423624
  • Author: Frederic S. Mishkin; S tanley G. Eakins

In Financial Markets and Institutions, bestselling authors Frederic S. Mishkin and Stanley G. Eakins provide a practical introduction to prepare students for today’s changing landscape of financial markets and institutions.

A unifying framework uses core principles to organize students’ thinking then examines the models as real-world scenarios from a practitioner’s perspective. By analyzing these applications, students develop the critical-thinking and problem-solving skills necessary to respond to challenging situations in their future careers. Although this text has undergone a major revision, the Eighth Edition retains Mishkin/Eakins’ hallmark pedagogy that make it the best-selling textbook on financial markets and institutions.

This program will provide a better teaching and learning experience–for you and your students. Here’s how:

  • Organize Learning with a Unifying Analytic Framework: Core principles organize students’ thinking and then examine the models as real-world scenarios from a practitioner’s perspective.
  • Help Students Transition from Classroom to Career with Real-Life Business Scenarios: Cases increase students’ interest by applying theory to real-world data and examples.
  • Emphasis Critical Thinking with Key Features : Examples and exercises allow students to put into practice the concepts that they are learning.
  • Keep Your Course Current and Relevant: New material on financial markets and institutions and monetary policy appear throughout the text.

Table of contents:

Part 1: INTRODUCTION AND OVERVIEW OF FINANCIAL MARKETS

 

 

Chapter 1: Introduction

 

 

Chapter 2: Determinants of Interest Rates

 

 

 

Chapter 3: Interest Rates and Security Valuation

 

 

 

Chapter 4: The Federal Reserve System, Monetary Policy, and InterestRates

 

 

 

Part 2: SECURITIES MARKETS

 

 

Chapter 5: Money Markets

 

 

 

Chapter 6: Bond Markets

 

 

 

Chapter 7: Mortgage Markets

 

 

 

Chapter 8: Stock Markets

 

 

 

Chapter 9: Foreign Exchange Markets

 

 

 

Chapter 10: Derivative Securities Markets

 

 

 

Part 3: COMMERCIAL BANKS

 

 

Chapter 11: Commercial Banks

 

 

 

Chapter 12: Commercial Banks’ Financial Statements and Analysis

 

 

 

Chapter 13: Regulation of Commercial Banks

 

 

 

Part 4: OTHER FINANCIAL INSTITUTIONS

 

 

Chapter 14: Other Lending Institutions

 

 

 

Chapter 15: Insurance Companies

 

 

 

Chapter 16: Securities Firms and Investment Banks

 

 

 

Chapter 17: Investment Companies

 

 

 

Chapter 18: Pension Funds

 

 

 

Chapter 19: Fintech Companies

 

 

 

Part 5: RISK MANAGEMENT IN FINANCIAL INSTITUTIONS

 

 

Chapter 20: Types of Risks Incurred by Financial Institutions

 

 

 

Chapter 21: Managing Credit Risk on the Balance Sheet

 

 

 

Chapter 22: Managing Liquidity Risk on the Balance Sheet

 

 

 

Chapter 23: Managing Interest Rate Risk and Insolvency Risk on theBalance Sheet

 

 

 

Chapter 24: Managing Risk off the Balance Sheet with DerivativeSecurities

 

 

 

Chapter 25: Managing Risk off the Balance Sheet with Loan Sales andSecuritization

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