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FINANCE AND FINANCIAL MARKETS KEITH PILBEAM PDF

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Finance and Financial Markets is a major new text designed for introductory PDF · Financial Intermediation and Financial Markets. Keith Pilbeam. Pages Finance and Financial Markets | 𝗥𝗲𝗾𝘂𝗲𝘀𝘁 𝗣𝗗𝗙 on ResearchGate | Finance and Financial Markets | Finance and Keith Pilbeam at City, University of London. Request PDF on ResearchGate | On Jan 1, , Keith Pilbeam and others published Finance and Financial Markets.

Check stock Synopsis Finance and Financial Markets is a best selling comprehensive introduction to the financial markets, institutions and instruments that constitute global finance. Its practical approach makes it readily understandable for students on finance and economics courses and those wanting to understand the workings of the modern financial world. This third edition has been thoroughly updated in the wake of the recent financial crisis, and discusses its implications for the finance industry. About the Publisher Palgrave Macmillan From award-winning research which changes the world to textbooks and study guides which educate and inspire, we publish across the humanities, social sciences and business for academics, students, professionals and librarians worldwide. With offices in London and New York, and sales teams across 50 countries, we have a global reach and as part of Macmillan Science and Education, are proud to uphold an unbroken tradition of over years of academic publishing. Book information.

Finance and Financial Markets by Keith Pilbeam

Many excellent books on finance are written to quite an advanced level and tend to adopt a relatively technical approach to the topic. The aim of this book is to provide a less technical and more practically oriented introduction to the field of finance whilst maintaining a reasonable degree of rigour.

The book provides enough coverage to satisfy most introductory courses; however, it is hoped that the book will also serve as a springboard to the more advanced texts.

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The opening five chapters provide an introduction to the world of finance and cover the basic theory relating to the operation of financial institutions and the domestic and off shore Eurocurrency money markets.

Chapters 6 to 10 deal with both the theory and practice relating to capital markets. The theory covers areas such as portfolio diversification, the capital asset pricing model, the Gordon growth model and the efficient market hypothesis, while the practice looks at the domestic and international bond markets and equity markets.

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Chapters 11 and 12 are devoted to the foreign exchange market. Chapter 11 provides an introduction to the spot and forward markets and Chapter 12 presents an analysis of the purchasing power parity theory and more modern theories of exchange rate determination. Chapters 13 to 16 are concerned with derivative instruments. Chapter 13 looks at forwards and futures contracts, and specific examples of currency, bond and equity index contracts are included. Chapters 14 and 15 look at options.

Chapter 14 examines what options are, how they can be used for speculative and hedging purposes and at various option strategies, while Chapter 15 focuses on the more complex issue of option pricing and in particular the Black—Scholes option pricing formula.

Chapter 16 looks at the swap market, which since the first swaps agreements were made in the s has become increasingly important to the operation of domestic and international bond markets.

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Pages Financial Intermediation and Financial Markets. Financial Institutions.

Monetary Policy and Interest Rate Determination. Domestic and International Money Markets.

The Domestic and International Bond Market. Portfolio Analysis: Risk and Return in Financial Markets.

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The Capital Asset Pricing Model. So, you can locate them also easily.

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