An introduction to global financial markets / Stephen Valdez & Philip Molyneux.
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TextPublication details: New York : Palgrave Macmillan, 2013.Edition: 7th edDescription: xxix, 537 p. : ill. b&w ; 24 cmISBN: - 9781137007520
- 332.091722
| Item type | Current library | Call number | Status | Barcode | |
|---|---|---|---|---|---|
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Marbella International University Centre | 332 VAL int (Browse shelf(Opens below)) | Available | 10960 |
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| 332 MAU glo Global private banking and wealth management : | 332 OUD bel Beleggen voor dummies / | 332 SWA str Strategic stock trading : | 332 VAL int An introduction to global financial markets / | 332.024 COR ric Rich habits : | 332.024 DUN hap Happy money : | 332.024 STA fin Finance for normal people : |
Includes bibliographical references and index.
Pt. 1. Introduction --
1. The debt merry-go-round --
Pt. 2. Banking --
2. Banking background --
3. The role of the central bank --
4. Commercial banking --
5. Investment banking --
6. Regulation --
Pt. 3. Securities Markets --
7. The money and bond markets --
8. Stock exchanges --
9. Hedge funds and private equity --
10. Financial crisis --
Pt. 4. Foreign Exchange and European Economic and Monetary Union --
11. Foreign exchange --
12. European Economic and Monetary Union --
Pt. 5. Derivative Products --
13. Traded options.
14. Financial futures --
15. Other derivative products --
Pt. 6. Emerging Growth-leading Economies (EAGLEs) --
16. Emerging Growth-leading Economies (EAGLEs) --
Pt. 7. Trends in the Global Financial Markets --
17. Key trends.
An Introduction to Global Financial Markets describes the financial sector in clear, easy to understand terms, providing a broad and balanced introduction to financial market across the world. In the constantly fluctuating state of modern world finance, the book provides comprehensive, up-to-date coverage of commercial and investment banking, foreign exchange, money and bond markets, stock markets and derivatives products. It is the ideal text for those who require a basic understanding or who are new to, the world of finance.
This new edition includes updated coverage of the financial crisis and its context; the European sovereign debt crisis and the impact on the euro; monetary policy and quantitative easing; a new chapter on regulation and the markets; coverage of social, ethical, environmental and trust issues.
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