This book helps prepare students for careers in Finance by describing a wide range of instruments for financing, investing, and controlling risk available in today's financial markets.
Features
- For courses in Markets and Institutions or Money and Capital Markets
- This book helps prepare students for careers in Finance by describing a wide range of instruments for financing, investing,
and controlling risk available in today's financial markets.
- In-depth coverage of the various sectors of the financial markets provides students with a solid foundation of information.
- Discussion of the latest instruments enables students to recognize the contribution made by a new financial instrument.
- Blending of theory and practice provides students with a balanced presentation.
- This book continues to be a leader in the coverage of derivative markets (futures, options, swaps etc.).
- End-of-chapter questions using material from practitioner publications allow students to review and reinforce material using
real-world resources.
Section 1 The Players
Section 2 Organization and Structure of Markets
Section 3 Risk an dReturn Theories
Section 4 Derivatives Markets
Section 5 The Equity Market
Section 6 Interest Rate Determination and Bond Valuation
Section 7 Debt Markets
Section 8 Foreign Exchange Markets