Financial Markets & Institution : An Introduction to the Risk Management Approach 3rd  Edition
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    Financial Markets & Institution : An Introduction to the Risk Management Approach 3rd Edition (English, Paperback, Anthony Saunders, Marcia Millon Cornett)

    Financial Markets & Institution : An Introduction to the Risk Management Approach 3rd Edition  (English, Paperback, Anthony Saunders, Marcia Millon Cornett)

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    Highlights
    • Language: English
    • Binding: Paperback
    • Publisher: Mcgraw Higher Ed
    • ISBN: 9780070635814, 0070635811
    • Edition: 3rd Edition, 2007
    • Pages: 744
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    Description


    The text offers a unique analysis of the risks faced by investors and savers interacting through financial institutions and financial markets, as well as strategies that can be adopted for controlling and managing risks.

    Key Features

    • Strong markets focus within a modern risk management framework.
    • Detailed coverage of ethics in finance
    • Looks at how new risks have evolved, how the more traditional risks have changed as a result, and how all of these risks can be measured and managed.
    • Pedagogically rich to help students retain and apply chapter concept. Chapter Navigators.
    • Well developed end of chapter problems, at least twenty per chapter, are written for varied levels of difficulty.
    • Table of contantents

     

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    Specifications
    Book Details
    • Publication Year
      • 2007
    • Edition Type
      • Special Indian
    • Table of Contents
      • Part I. 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 Interest Rates

        Part II. Securities Markets

        Chapter 5. Money Markets
        Chapter 6. Bond Markets
        Chapter 7. Mortgage Markets
        Chapter 8. Foreign Exchange Markets (used to be chpt.9)
        Chapter 9. Stock Markets (used to be chpt. 8)
        Chapter 10. Derivative Securities Markets

        Part III. Commercial Banks

        Chapter 11. Commercial Banks
        Chapter 12. Commercial Banks Financial Statements and Analysis
        Chapter 13. Regulation of Commercial Banks

        Part IV. Other Financial Institutions

        Chapter 14. Other Lending Institutions: Savings Institutions, Credit Unions, and Finance Companies
        Chapter 15. Insurance Companies
        Chapter 16. Securities Firms and Investment Banks
        Chapter 17. Mutual Funds
        Chapter 18. Pension Funds

        Part V. Risk Management In Financial Institutions

        Chapter 19. Types of Risks Incurred by Financial Institutions
        Chapter 20. Managing Credit Risk on the Balance Sheet
        Chapter 21. Managing Liquidity Risk
        Chapter 22. Managing Interest Rate and Insolvency Risk
        Chapter 23. Managing Risk with Derivative Securities
        Chapter 24. Managing Risk with Loan Sales and Asset Securitization

        References
        Index

    Contributors
    • Authored By
      • Anthony Saunders, Marcia Millon Cornett
    • Author Info
      • Anthony Saunders The John M. Schiff Professor of Finance and the Chair of the Department of Finance at the Stern School of Business at New York University. Professor Saunders received his PhD from the London School of Economics and has taught both undergraduate and graduate level courses at NYU since 1978. Throughout his academic career, his teaching and research have specialized in financial institutions and international banking. He has served as a visiting professor all over the world, including INSEAD, the Stockholm School of Economics, and the University of Melbourne. He is currently on the Executive Committee of the Salomon Center for the Study of Financial Institutions, NYU. His research has been published in all the major money and banking and finance journals and in several books. In addition, he has authored or co-authored several professional books, the most recent of which is Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms, John Wiley and Sons, New York, 1999 Marcia Cornett The Rehn Professor of Business at Southern Illinois University at Carbondale. She received her B.S. degree in economics from Knox College in Galesburg, Illinois, and her M.B.A. and Ph.D. degrees in finance from Indiana University in Bloomington. Dr. Cornett has written and published several scholarly articles in the areas of bank performance, bank regulation, corporate finance, and investments. Articles authored by Dr. Cornett have appeared in such academic journals as the Journal of Finance, the Journal of Money, Credit, and Banking, the Journal of Financial Economics, Financial Management, and the Journal of Banking and Finance.
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