This text uses a few basic economic principles and a unifying framework to organize students' thinking. It contains coverage of the regulation and supervision of markets and "Inside the Fed" boxes give students insight into the Federal Reserve Bank of New York.
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Frederic S. Mishkin is the Alfred Lerner Professor of Banking and Financial Institutions at the Graduate School of Business at Columbia University. Since receiving his PhD from the Massachusetts Institute of Technology in 1976, he has taught at the University of Chicago, Northwestern University, Princeton University, and Columbia.
In addition to teaching, Mishkin is also a research associate at the National Bureau of Economic Research, a senior fellow at the FDIC Center for Banking Research, and president of the Eastern Economic Association. He is also the author of more than one hundred published articles and over ten textbooks. He is currently an academic consultant to and serves on the Economic Advisory Panel of the Federal Reserve Bank of New York.
Stanley G. Eakins is the Associate Dean for the College of Business at East Carolina University. He received his PhD from Arizona State University and has served as vice president and comptroller for the First National Bank of Fairbanks.
A founder of the Denali Title and Escrow Agency and a contributor to journals such as the Quarterly Journal of Business and Economics and Journal of Financial Research, Professor Eakins is also the author of Finance: Institutions, Investments, and Management, Second Edition.
Recognizing that students need more than an abstract description of financial markets and institutions as they train to become managers successfully working in, or interacting with, the financial service industry, Mishkin and Eakins examine models and concepts through the eyes of a practicing financial manager to see not onlywhy they matter, but also how they are used in the real world. In this way, students learn to place themselves in the role of decision-maker and envision how they might respond to problems and situations that will arise in their future careers.
This Fifth Edition boasts expanded coverage of valuation concepts, more quantitative material, and a streamlined, finance-focused presentation. A careful examination of conflicts of interest, a concentration on the impact of new technologies, new data, and refreshing examples all serve to enhance and illuminate important concepts.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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