The Economics of Money, Banking, and Financial Markets, 7th Canadian Edition, (PDF) offers an analytical framework that uses fundamental economic principles to organize a university student’s thinking about the structure of financial markets, the financial institution management, foreign exchange markets, and the role of monetary policy in the economy.
Why Study Money, Banking, and Financial Markets?
Defining Aggregate Output, the Price Level, Income, and the Inflation Rate; An Overview of the Financial System; What Is Money?; Economic Analysis of Financial Regulation, The Behaviour of Interest Rates; The Stock Market, the Theory of Rational Expectations, The Risk and Term Structure of Interest Rates; and the Efficient Market Hypothesis; An Economic Analysis of Financial Structure; The Meaning of Interest Rates; Banking Industry: Structure and Competition; Financial Crises; Risk Management with Financial Derivatives; Central Banks and the Bank of Canada; Banking and the Management of Financial Institutions The Money Supply Process; Tools of Monetary Policy; The Foreign Exchange Market; The Interest Parity Condition; The Conduct of Monetary Policy: Strategy and Tactics; The International Financial System; The IS Curve; The Monetary Policy and Aggregate Demand Curves; Quantity Theory, Inflation, and the Demand for Money; Aggregate Demand and Supply Analysis; Monetary Policy Theory; The Role of Expectations in Monetary Policy; Transmission Mechanisms of Monetary Policy
Appropriate for Money and Banking courses.
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