Economics of Money, Banking and Financial Markets, The, Global Edition, 13th edition

Published by Pearson (July 29, 2024) © 2024

  • Frederic S Mishkin Columbia University
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A fresh perspective to financial policy, now in a practical, digital eBook format

Economics of Money, Banking and Financial Markets is packed with new examples, insight boxes and revised in-chapter content, making it an excellent aid for courses on money and banking or general economics.

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Brief Contents

PART I: Introduction

  1. Why Study Money, Banking, and Financial Markets?
  2. An Overview of the Financial System
  3. What Is Money?

PART II: Financial Markets

  1. The Meaning of Interest Rates
  2. The Behavior of Interest Rates
  3. The Risk and Term Structure of Interest Rates
  4. The Stock Market, the Theory of Rational Expectations, and the Efficient Market Hypothesis

PART III: Financial Institutions

  1. An Economic Analysis of Financial Structure
  2. Banking and the Management of Financial Institutions
  3. Economic Analysis of Financial Regulation
  4. Banking Industry: Structure and Competition
  5. Financial Crises in Advanced Economies
  6. Financial Crises in Emerging Market Economies

PART IV: Central Banking And The Conduct Of Monetary Policy

  1. Central Banks
  2. The Money Supply Process
  3. Tools of Monetary Policy
  4. The Conduct of Monetary Policy: Strategy and Tactics

PART V: International Finance and Monetary Policy

  1. The Foreign Exchange Market
  2. The International Financial System

PART VI: Monetary Theory

  1. Quantity Theory, Inflation, and the Demand for Money
  2. The IS Curve
  3. The Monetary Policy and Aggregate Demand Curves
  4. Aggregate Demand and Supply Analysis
  5. Monetary Policy Theory
  6. The Role of Expectations in Monetary Policy
  7. Transmission Mechanisms of Monetary Policy

Additional Chapters in Pearson Pearson Mylab Economics

  1. Nonbank Finance
  2. Financial Derivatives
  3. Conflicts of Interest in the Financial Services Industry

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