Economics for financial markets /
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 understan...
Основен автор: | Kettell, Brian. |
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Формат: | Електронна книга |
Език: | English |
Публикувано: |
Oxford ; Boston :
Butterworth-Heinemann,
2002.
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Серия: |
Quantitative finance series.
|
Предмети: | |
Онлайн достъп: |
http://search.ebscohost.com/login.aspx?direct=true&scope=site&db=nlebk&AN=195264 |
Подобни документи: |
Print version::
Economics for financial markets. |
Съдържание:
- 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.