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The economics of money, banking and finance : a European text / Peter Howells and Keith Bain.

By: Contributor(s): Publication details: Harlow, England ; New York : Prentice Hall Financial Times, 2008.Edition: 4th edDescription: xxi, 634 p. : ill. ; 25 cmISBN:
  • 9780273710394 (pbk.) :
  • 0273710397 (pbk.) :
Subject(s): LOC classification:
  • HG925 .H695 2008
Contents:
Pt. 1. Introduction; Ch. 1. role of a financial system -- Pt. 2. Financial Institutions and Systems; Ch. 2. introduction to financial systems / Murray Glickman, Ch. 3. UK financial system / Murray Glickman and Peter Howells, Ch. 4. US financial system, Ch. 5. German financial system, Ch. 6. French and Italian financial systems, Ch. 7. Financial systems in Northern Europe / Hans-Michael Trautwein -- Pt. 3. Theory; Ch. 8. Portfolio theory, Ch. 9. determination of short-term interest rates, Ch. 10. structure of interest rates, Ch. 11. valuation of assets, Ch. 12. Banks and the supply of money, Ch. 13. demand for money, Ch. 14. Monetary policy, Ch. 15. Money markets, Ch. 16. Bond markets, Ch. 17. Equity markets, Ch. 18. Foreign exchange markets, Ch. 19. Derivatives - the financial futures markets, Ch. 20. Options, swaps and other derivatives -- Pt. 6. Current Issues; Ch. 21. single European market, Ch. 22. European Monetary System and monetary union, Ch. 23. European Central Bank and eurozone monetary policy, Ch. 24. Financial innovation, Ch. 25. regulation of financial markets, Ch. 26. Financial market efficiency.

Includes bibliographical references.

Pt. 1. Introduction; Ch. 1. role of a financial system -- Pt. 2. Financial Institutions and Systems; Ch. 2. introduction to financial systems / Murray Glickman, Ch. 3. UK financial system / Murray Glickman and Peter Howells, Ch. 4. US financial system, Ch. 5. German financial system, Ch. 6. French and Italian financial systems, Ch. 7. Financial systems in Northern Europe / Hans-Michael Trautwein -- Pt. 3. Theory; Ch. 8. Portfolio theory, Ch. 9. determination of short-term interest rates, Ch. 10. structure of interest rates, Ch. 11. valuation of assets, Ch. 12. Banks and the supply of money, Ch. 13. demand for money, Ch. 14. Monetary policy, Ch. 15. Money markets, Ch. 16. Bond markets, Ch. 17. Equity markets, Ch. 18. Foreign exchange markets, Ch. 19. Derivatives - the financial futures markets, Ch. 20. Options, swaps and other derivatives -- Pt. 6. Current Issues; Ch. 21. single European market, Ch. 22. European Monetary System and monetary union, Ch. 23. European Central Bank and eurozone monetary policy, Ch. 24. Financial innovation, Ch. 25. regulation of financial markets, Ch. 26. Financial market efficiency.

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