Finance and Financial Intermediation
Oxford University Press Inc (Verlag)
978-0-19-094170-3 (ISBN)
Harold L. Cole provides a broad overview of the financial system and assets pricing, covering history, institutional detail, and theory. The book begins with an overview of financial markets and their operation and then covers asset pricing for standard assets and derivatives, and analyzes what modern finance says about firm behavior and capital structure. It then examines theories of money, exchange rates, electronic payments methods, and cryptocurrencies. After exploring banks and other forms of financial intermediation, the book examines the role they played in the Great Recession. Having provided an overview of the provate sector, Cole switches to public finance and government borrowing as well as the incentives to monetize the public debt and its consequences. The book closes with an examination of sovereign debt crises and an analysis of their various forms.
Finance and financial intermediation are central to modern economies. This book covers all of the material a sophisticated economist needs to know about this area.
Harold L. Cole is a Professor of Economics at the University of Pennsylvania and the Editor of the International Economic Review. He is a Fellow of the Econometric Society and the Society for the Advancement of Theory. He is a research associate of the NBER and a visiting scholar at the Federal Reserve Banks of Philadelphia
Preface i
Part 1. Assets and the Structure of Financial Markets
Chapter 1. Overview of the Financial System
Chapter 2. Market Operation
Chapter 3. Asset Pricing I: Risk-Neutral Pricing
Chapter 4. Asset Pricing with Growth
Chapter 5. Asset Pricing II
Chapter 6. Asset Pricing III: Arbitrage-Based Pricing
Chapter 7. Derivatives
Chapter 8. Investment and Capital Structure of the Firm
Chapter 9. Money
Chapter 10. Exchange Rates and Nominal Interest Rates
Chapter 11. Moving Away From Money
Chapter 12. Lending and the Development of Banks
Chapter 13. More on Banks and Banking
Chapter 14. The Financial Meltdown and the Great Recession
Chapter 15. Debt, Spending and Inflation
Chapter 16. Modeling Government Debt and Inflation
Chapter 17. Debt, Default and Interest Rates
Chapter 18. Math Reviews
Index
Erscheinungsdatum | 19.04.2019 |
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Verlagsort | New York |
Sprache | englisch |
Maße | 160 x 236 mm |
Gewicht | 499 g |
Themenwelt | Wirtschaft ► Allgemeines / Lexika |
Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
Wirtschaft ► Volkswirtschaftslehre ► Makroökonomie | |
ISBN-10 | 0-19-094170-7 / 0190941707 |
ISBN-13 | 978-0-19-094170-3 / 9780190941703 |
Zustand | Neuware |
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