• Economics for financial markets[electronic resource] /
  • 紀錄類型: 書目-語言資料,印刷品 : Monograph/item
    杜威分類號: 332.4
    書名/作者: Economics for financial markets/ Brian Kettell.
    作者: Kettell, Brian.
    出版者: Oxford ; : Butterworth-Heinemann,, 2002.
    面頁冊數: 1 online resource (xii, 359 p.) : : ill.
    標題: Money market.
    標題: BUSINESS & ECONOMICS - Money & Monetary Policy.
    ISBN: 9780750653848
    ISBN: 0750653841
    ISBN: 9781429484299 (electronic bk.)
    ISBN: 1429484292 (electronic bk.)
    ISBN: 9786611013837
    ISBN: 6611013830
    ISBN: 0080494633 (electronic bk.)
    ISBN: 9780080494630 (electronic bk.)
    書目註: Includes bibliographical references (p. [335]-359) and index.
    內容註: Macroeconomics and interpretation of financial market volatility?; The time value of money; Term structure of interest rates and financial markets; Forecasting; Business cycles; Economic indicators ; Consumer expenditure, investment spending, government spending and foreign trade:Consumer confidence and consumer sentiment; Global exchange rate system and currency markets; Exchange rate volatility: the Fundamental approach and the asset market approach; US interest rates; Derivatives; The new economic paradigm; Bubbleology and financial markets; Bibliography; Statistical tables; Appendix: useful web addresses.
    摘要、提要註: Successful trading, speculating or simply making informed decisions about financial markets means it is essential to have a firm grasp of economics. Financial market behaviour revolves around economic concepts, however the majority of economic textbooks do not tell the full story. To fully understand the behaviour of financial markets it is essential to have a model that enables new information to be absorbed and analysed with some predictive implications. That model is provided by the business cycle. 'Economics for Financial Markets' takes the reader from the basics of financial market valuation to a more sophisticated understanding of the actions that traders take which ultimately drives the volatility in the financial markets. The author shows traders, investment managers, risk managers and finance professionals how to distil the flow of information and show what needs to be concentrated on, covering topics such as: * Why are financial markets subject to economic fashions? * How has the New Economy changed financial market behaviour? * Does the creation of the euro fundamentally change the behaviour of the currency markets? Shows how to distil the vast amount of information in financial markets and identify what is important Demonstrates how the "New Economy" had changed financial market behaviour Explains how to follow the behaviour of central banks.
    電子資源: http://www.sciencedirect.com/science/book/9780750653848
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