This book focuses on managing return and risk in modern financial institutions. The central theme is that the risks is the faced by managers and the methods and markets through which these risks ar…
Departing from the traditional approach of other works, this text avoids rote memorization of institutional detail through the use of a unifying analytical framework that helps students not only to…
Financial Markets and Institutions is aimed at the first course in financial markets and institutions at both the undergraduate and MBA levels. While topics covered in this book are found in more a…
Written by a distinguished group of academics, policymakers, and financial executives, the chapters collected here cover international imbalances and international policy coordination, the internat…
This volume provides a collection of essays which examines the performance of the six financial functions: payments, lending and investing, pooling funds, allocating risk, providing information and…
This text is structured to reflect three main areas of activity and concern in European financial affairs: alliances, acquisitions and privatization; corporate finance and restructuring; and risk m…
With its proven conceptual framework and clear presentation, FINANCIAL MARKETS AND INSTITUTIONS, 9e, International Edition (with Stock-Trak coupon), can help you understand why financial markets ex…
Tsuyoshi Oyama, an experienced risk management professional, has produced a valuable and insightful examination of the causes of the global financial crisis, the initial public sector responses to …
Usaha lembaga keuangan saat ini tumbuh sangat cepat. Ragam, bentuk, dan jenisnya pun semakin banyak dengan segala keunikan dan permasalahannya. Namun, pengetahuan masyarakat pengguna belum secepat …
Microfinance is not simply banking; it is a development tool. It has been estimated that there are 500 million economically active poor people in the world operating microenterprises and small busi…