The technical analysis classic-revised and updated to help you succeed, even during times of extreme volatility. "This book contains the most advanced methodology I've ever seen." (George C. Lane, from the Foreword). Required reading for certification in the Chartered Market Technician (CMT) program[...]
THE TECHNICAL ANALYSIS CLASSIC REVISED AND UPDATED TO HELP YOU SUCCEED, EVEN DURING TIMES OF EXTREME VOLATILITY This book contains the most advanced methodology I ve ever seen. GEORGE C. LANE, from the Foreword Required reading for certification in the Chartered Market Technician (CMT) program [...]
An Introduction to Global Financial Markets describes the financial world in clear, easy to understand terms. The authors provide comprehensive coverage of commercial and investment banking, foreign exchange, money and bond markets, stock markets and derivatives and an up to date analysis of the glo[...]
A thoroughly revised and updated edition of a textbook for graduate students in finance, with new coverage of global financial institutions.This thoroughly revised and updated edition of a widely used textbook for graduate students in finance now provides expanded coverage of global financial instit[...]
Managing Credit Risk, Second Edition opens with a detailed discussion of today's global credit markets-touching on everything from the emergence of hedge funds as major players to the growing influence of rating agencies.[...]
Traces key themes throughout the 1990s on global financial markets. Presents a view of the liberalization of the global capital markets and the interrelated boom on Wall Street, which developed into a global carnival, pulling players around the world into the game.[...]
The IMF's response to the global crisis of 2008-9 marked a significant change from its past policies. The Fund provided relatively large amounts of credit quickly with limited conditions and accepted the use of capital controls. This book traces the evolution of the IMF's actions to promote internat[...]
Shows how circumstances in one country can have a dramatic effect on the financial environment in many others. This book examines financial markets - global and, for better or worse, interlinked and inter-dependent. It covers the markets of the US and Europe, as well as other key financial centres a[...]
The first decade of the 21st Century has been disastrous for financial institutions, derivatives and risk management. Counterparty credit risk has become the key element of financial risk management, highlighted by the bankruptcy of the investment bank Lehman Brothers and failure of other high profi[...]
An accessible and detailed overview of the risks posed by financial institutions Understanding Systemic Risk in Global Financial Markets offers an accessible yet detailed overview of the risks to financial stability posed by financial institutions designated as systemically important. The types of f[...]
An Introduction to Global Financial Markets describes the financial sector in clear, easy to understand terms, providing a broad and balanced introduction to financial markets across the world. In the constantly fluctuating state of modern world finance, the book provides comprehensive, up-to-date c[...]
The OTC derivatives market has been hit by a massive wave of regulatory change. Capital and margin requirements have increased, trade reporting has been mandated, and execution mechanisms are evolving. Most of all, central clearing is being imposed for many transactions. OTC Derivatives: Bilateral T[...]
The major financial scandals of the past decade, which have been discussed exhaustively in corporate offices by corporate attorneys, and in accounting firms, have led to the passage of massive Congressional enactments in the United States that impact the world of finance. The enactment of the Sarban[...]
An Introduction to Global Financial Markets provides students with a one-stop guide to finance and financial markets around the world. Requiring no previous knowledge of the subject, the authors comprehensively cover a broad range of different types of banking, markets, foreign exchange and derivati[...]
Succeeding in the financial markets requires a mastery of many disciplines. Mastery begins with understanding the actors, rules, and dynamics, and the ways in which they interact. This title focuses on key subjects such as regulation and compliance, risk and ways to mitigate it, and the directions i[...]
Housing markets are at the centre of the recent global financial turmoil. In this well-researched study, a multidisciplinary group of leading analysts explores the impact of the crisis within, and between, countries. The impacts of the so-called global crisis are, in fact, highly uneven for both ho[...]
For courses in Money and Banking or General Economics. An Analytical Framework for Understanding Financial Markets The Economics of Money, Banking and Financial Markets brings a fresh perspective to todays major questions surrounding financial policy. Influenced by his term as Governor of the Feder[...]
For courses in money and banking, or general economics.A unified framework for understanding financial marketsThe Economics of Money, Banking and Financial Markets brings a fresh perspective to today's major questions surrounding financial policy. Influenced by his term as Governor of the Federal Re[...]
For courses in money and banking, or general economics.This package includes MyLab Economics.A unified framework for understanding financial marketsThe Economics of Money, Banking and Financial Markets brings a fresh perspective to today's major questions surrounding financial policy. Influenced by [...]