Financial markets and institutions : (Record no. 4367)

MARC details
000 -LEADER
fixed length control field 02000cam a22002174a 4500
020 ## - INTERNATIONAL STANDARD BOOK NUMBER
ISBN 0072348925
050 00 - CALL NUMBER
Classification number HG4910
Item number .S28
100 1# - AUTHOR
Personal name Saunders, Anthony,
245 10 - TITLE
Title Financial markets and institutions :
Remainder of title a modern perspective /
Statement of responsibility, etc Anthony Saunders, Marcia Millon Cornett.
260 ## - PUBLICATION INFORMATION
Place of publication Boston :
Name of publisher McGraw-Hill/Irwin,
Year of publication 2001.
300 ## - DESCRIPTION
Number of Pages xxiv, 723 p. :
Other physical details ill. ;
Dimensions 28 cm.
440 #4 - SERIES
SERIES The McGraw-Hill/Irwin series in finance, insurance, and real estate
505 ## - FORMATTED CONTENTS NOTE
Table of Content Part 1. Introduction and Overview of Financial Markets. Chapter 1. Introduction. Chapter 2. Determination of Interest Rates. Chapter 3. Interest Rates and Security Valuation. Chapter 4. The Federal Reserve System, Monetary Policy and Interest Rates. Part 2. Securities Markets. Chapter 5. Money Markets. Chapter 6. Bond Markets. Chapter 7. Mortgage Markets. Chapter 8. Stock Markets. Chapter 9. Foreign Exchange Markets. Chapter 10. Derivative Securities Markets. Part 3. Depository Institutions. Chapter 11. Commercial Banks. Chapter 12. Thrift Institutions. Chapter 13. Depository Institutions Financial Statement Analysis. Chapter 14. Regulation of Depository Institutions. Part 4. Other Financial Institutions. Chapter 15. Insurance Companies. Chapter 16. Securities Firms and Investment Banks. Chapter 17. Finance Companies. Chapter 18. Mutual Funds. Chapter 19. Pension Funds. Part 5. Risk Management in Financial Institutions. Chapter 20. Types of Risks Incurred by Financial Institutions. Chapter 21. Managing Risk on the Balance Sheet I: Credit Risk. Chapter 22. Managing Risk on the Balance Sheet II: Liquidity Risk. Chapter 23. Managing Risk on the Balance Sheet III: Interest Rate and Insolvency Risk. Chapter 24. Managing Risk with Derivative Securities. Chapter 25. Managing Risk through Securitization.
650 #0 - SUBJECTS
Topical Term Securities
650 #0 - SUBJECTS
Topical Term Stock exchanges
650 #0 - SUBJECTS
Topical Term Financial institutions
650 #0 - SUBJECTS
Topical Term Rate of return
650 #0 - SUBJECTS
Topical Term Interest rates
700 1# - OTHER AUTHORS
Personal name Cornett, Marcia Millon.
942 ## - ADDED ENTRY ELEMENTS (KOHA)
Koha item type Books
Holdings
Withdrawn status Lost status Home library Current library Shelving location Date acquired Full call number Accession Number Koha item type
    Methodist University Library Tema Methodist University Library Tema General Stacks 12/05/2010 HG4910 .S28 23028 Books
    Methodist University Library Tema Methodist University Library Tema General Stacks 12/05/2010 HG4910 .S28 15551 Books
    Methodist University Library Tema Methodist University Library Tema General Stacks 12/05/2010 HG4910 .S28 15550 Books
    Methodist University Library Tema Methodist University Library Tema General Stacks 12/05/2010 HG4910 .S28 15528 Books
    Methodist University Library Tema Methodist University Library Tema General Stacks 12/05/2010 HG4910 .S28 15546 Books
Copyright © 2026  MUG Library