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OverviewNow in its ninth edition, Financial Institutions, Instruments and Markets continues to be one of the market leaders in financial institutions management. With a well-respected author team at the helm, it is a comprehensive resource for all students wanting to learn about the modern financial system, as well as those preparing for a career in finance. This new edition encourages students to understand, anticipate, and challenge the complex and global nature of finance, while maintaining an accessible approach and style. Full Product DetailsAuthor: Christopher Viney, Mr (Retired Deakin) , Peter Phillips (University of Southern Queensland)Publisher: McGraw-Hill Education / Australia Imprint: McGraw-Hill Education / Australia Edition: 9th Revised edition Dimensions: Width: 21.80cm , Height: 2.90cm , Length: 27.60cm Weight: 1.610kg ISBN: 9781760422943ISBN 10: 1760422940 Pages: 760 Publication Date: 15 April 2019 Audience: College/higher education , Tertiary & Higher Education Format: Book Publisher's Status: Active Availability: Available To Order ![]() We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately. Table of ContentsPart One: Financial Institutions Chapter 1 A Modern Financial System: an overview Chapter 2 Commercial Banks Chapter 3 Non-Bank Financial Institutions Part Two: Equity Markets Chapter 4 The Share Market and the Corporation Chapter 5 Corporations Issuing Equity in the Share Market Chapter 6 Investors in the Share Market Chapter 7 Forecasting Share Price Movements Part Three: The Corporate Debt Market Chapter 8 Mathematics of Finance: an introduction to basic concepts and calculations Chapter 9 Short-Term Debt Chapter 10 Medium-to-long-term Debt Chapter 11 International Debt Markets Part Four: Government Debt, Monetary Policy, The Payments System and Interest Rates Chapter 12 Government Debt, Monetary Policy and the Payments System Chapter 13 An Introduction to Interest Rate Determination and Forecasting Chapter 14 Interest Rate Risk Measurement Part Five: The Foreign Exchange Market Chapter 15 Foreign Exchange: the structure and operation of the FX market Chapter 16 Foreign Exchange: factors that influence the exchange rate Chapter 17 Foreign Exchange: risk identification and management Part Six: Derivative Markets and Risk Management Chapter 18 An Introduction to Risk Management and Derivatives Chapter 19 Futures Contracts and Forward Rate Agreements Chapter 20 Options Chapter 21 Interest Rate Swaps, Cross-Currency Swaps and Credit Default SwapsReviewsAuthor InformationCHRISTOPHER VINEY Chris brings to this book a wealth of industry experience and academic knowledge associated with the international financial markets. His appreciation of the nature of both the theoretic and applied functions and operations of the global financial system is reflected in the clear and interesting presentation of issues in such a way that the reader is motivated to learn. He has recently retired from his position as a senior lecturer in finance with the School of Accounting and Finance at Deakin University, Melbourne, Australia. He taught in the areas of financial markets, financial institutions management, corporate finance, treasury management, and personal financial planning. Chris has taught in Singapore, Malaysia, Thailand, Indonesia and New Zealand. Also, for a number of years he has led a finance international study program for tertiary students. This structured program visits important financial institutions and markets, multinational corporations, multi-lateral organisations and regulators within financial centres around the world. Chris has particular research interests in the capital markets, operational risk management, bureau de change, money laundering and education and training. He has conducted research projects within government and the finance industry. A number of recommendations emanating from reports to these organisations have had direct influence in the determination of government legislative changes and on important operational practices within the financial system. Prior to moving into academia Chris had twenty-seven years' experience in the banking industry in the areas of retail banking, commercial lending, risk management, personnel, property, policy and administration. Following the passing of Michael McGrath with the first edition of the text, Chris has guided the evolution all subsequent editions whereby the book has now become a principal learning and reference source for undergraduate students, postgraduate students and industry practitioners alike. Tab Content 6Author Website:Countries AvailableAll regions |