×







We sell 100% Genuine & New Books only!

Financial Markets And Institutions 2020 Edition at Meripustak

Financial Markets And Institutions 2020 Edition by Saunders & Jain, McGraw Hill

Books from same Author: Saunders & Jain

Books from same Publisher: McGraw Hill

Related Category: Author List / Publisher List


  • Price: ₹ 1050.00/- [ 5.00% off ]

    Seller Price: ₹ 998.00

Estimated Delivery Time : 4-5 Business Days

Sold By: Meripustak      Click for Bulk Order

Free Shipping (for orders above ₹ 499) *T&C apply.

In Stock

We deliver across all postal codes in India

Orders Outside India


Add To Cart


Outside India Order Estimated Delivery Time
7-10 Business Days


  • We Deliver Across 100+ Countries

  • MeriPustak’s Books are 100% New & Original
  • General Information  
    Author(s)Saunders & Jain
    PublisherMcGraw Hill
    Edition7th Edition
    ISBN9789389811988
    Pages772
    BindingPaperback
    LanguageEnglish
    Publish YearAugust 2020

    Description

    McGraw Hill Financial Markets And Institutions 2020 Edition by Saunders & Jain

    OVERVIEWFinancial Markets and Institutions, 7e offers a distinct analysis of the risks faced by investors and savers interacting through financial institutions and financial markets. It also introduces strategies that can be adopted to control and manage risks. Special emphasis is placed on new areas of operations in financial markets and institutions, such as asset securitization, off-balance-sheet activities and globalization of financial services. Each chapter is further enriched by providing topical coverage in Indian context, followed by questions and eight mini-cases at selected chapters. This textbook's strong market focus and superior pedagogy are combined with a complete digital solution to help students achieve higher outcomes in the course. Primarily targeted for MBA students, this textbook also serves the purpose of students at UG level, professionals and investors across the industries.• A strong market focus with a modern risk management frameworkKEY FEATURES• Updates on the major changes proposed for the regulation of financial institutions throughout the book• Introduction of a new section, ‘The Indian Perspective’, in each chapter, to discuss the current structure of the segment, the major participants, and the challenges faced in Indian context• Rich pedagogy to help students retain and apply chapter concepts• Excel problems featured at the end of selected chapters, denoted by an icon. PART 1: INTRODUCTION AND OVERVIEW OF FINANCIAL MARKETSChapter 1: IntroductionChapter 2: Determinants of Interest RatesChapter 3: Interest Rates and Security ValuationChapter 4: The Federal Reserve System, Monetary Policy, and Interest RatesPART 2: SECURITIES MARKETSChapter 5: Money MarketsChapter 6: Bond MarketsChapter 7: Mortgage MarketsChapter 8: Stock MarketsChapter 9: Foreign Exchange MarketsChapter 10: Derivative Securities MarketsPART 3: COMMERCIAL BANKSChapter 11: Commercial Banks: Industry OverviewChapter 12: Commercial Banks’ Financial Statements and AnalysisChapter 13: Regulation of Commercial BanksPART 4: OTHER FINANCIAL INSTITUTIONSChapter 14: Other Lending Institutions: Savings Institutions, Credit Unions, and Finance CompaniesChapter 15: Insurance CompaniesChapter 16: Securities Firms and Investment BanksChapter 17: Investment CompaniesChapter 18: Pension FundsPART 5: RISK MANAGEMENT IN FINANCIAL INSTITUTIONSChapter 19: Types of Risks Incurred by Financial InstitutionsChapter 20: Managing Credit Risk on the Balance SheetChapter 21: Managing Liquidity Risk on the Balance SheetChapter 22: Managing Interest Rate Risk and Insolvency Risk on the Balance SheetChapter 23: Managing Risk off the Balance Sheet with Derivative Securities (on the web)Chapter 24: Managing Risk off the Balance Sheet with Loan Sales and Securitization (on the web



    Book Successfully Added To Your Cart