Financial markets and institutions : a modern perspective / Anthony Saunders and Marcia Millon Cornett
By: Saunders, Anthony
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Contributor(s): Cornett, Marcia Millon [(j.a.)]
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Publisher: Boston : Singapore : McGraw-Hill/Irwin ; McGraw Hill Book Co., 2001Edition: Int. ed.Description: xxiv, 723 p. ; 28 cm.ISBN: 0071181334.Subject(s): Financial institutions -- United States![](/opac-tmpl/bootstrap/images/filefind.png)
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Item type | Current location | Shelf location | Call number | Copy number | Status | Notes | Date due | Barcode |
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Main Collection | Taylor's Library-TU |
Floor 3, Shelf 5 , Side 2, TierNo 2, BayNo 4 |
332 SAU (Browse shelf) | 1 | Available | SLASx,05000,03,GR | 5000102012 |
Browsing Taylor's Library-TC Shelves Close shelf browser
332 MEL 2014 Introduction to finance : | 332 MIS The economics of money, banking, and financial markets / | 332 RIT Principles of money, banking, and financial markets / | 332 SAU Financial markets and institutions : a modern perspective / | 332.02341 GRA Cosmopolitan guide to working in finance / | 332.02373 EBE Careers for financial mavens & other money movers / | 332.024/01 Doing more with less |
Pt. 1. Introduction and overview of financial markets. 1. Introduction. 2. Determinants of interest rates. 3. Interest rates and security valuation. 4. The federal reserve systems, monetary policy, and interest rates. - Pt. 2. Securities markets. 5. Money markets. 6. Bond markets. 7. Mortgage markets. 8. Stock markets. 9. Foreign exchange markets. 10. Deritative securities markets. - Pt. 3. Depository institutions. 11. Commercial banks. 12. Thrift institutions. 13. Depository institutions' financial statements and analysis. 14. Regulation of depository institutions. - Pt. 4. Other financial institutions. 15. Insurance companies. 16. Securities firms and investment banks. 17. Finance companies. 18. Mutual funds. 19. Pension funds. - Pt. 5. Risk management in financial institutions. 20. Types of risks incurred by financial. 21. Managing risks on the balance sheet I : credit risk. 22. Managing risk on the balance sheet II : liquidity risk. 23. Managing risk on the balance sheet III : Interest rates and insolvency risk. 24. Managing risk with derivative securities. 25. Loan sales and asset securitization. - Glossary. - Appendix. - References. - Index.
"Saunders and Cornett's Financial Markets and Institutions presents a throughly up-to-date and pedagogically rich introduction that fits perfectly into the newest segment of the markets and institutions course area. Beginning with the 10 chapters on markets, students are encouraged to understand the importance of creating a solid microeconomics focus while still building on the risk management / risk measurement framework. This edition also provides international coverage throughout and includes a wealth of exceptional illustrations and examples, helping make even the most dificult concepts, like derivatives, easy for your students to learn." - Back cover.