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Financial Markets and Institutions (8th Edition) – eBook

For all graduate and undergraduate students of Financial Markets. This title is also suitable for all readers interested in financial markets and institutions. A current and practical look into today’s financial markets and institutions.

eBook details

  • Authors: Frederic S. Mishkin, Stanley Eakins
  • File Size: 22 MB
  • Format: PDF
  • Length: 700 pages
  • Publisher: Pearson; 8th edition
  • Publication Date: January 27, 2014
  • Language: English
  • ASIN: B00I2Y9GM4
  • ISBN-10: 013342362X
  • ISBN-13: 9780133423624

Original price was: $89.99.Current price is: $8.00.

SKU: financial-markets-and-institutions-8th-edition-ebook Categories: , , , , Tags: , , ,

About The Author

Frederic S. Mishkin

Frederic S. Mishkin

Dr. Frederic S. Mishkin is the Alfred Lerner Professor of Banking and Financial Institutions at the Graduate School of Business, Columbia University (USA). He is also a Research Associate at the National Bureau of Economic Research, a member of the Squam Lake Working Group on Financial Reform,co-director of the US Monetary Policy Forum, and past president of the Eastern Economics Association. Since receiving his Ph.D. from the MIT in 1976, he has taught at the Northwestern University, Princeton University, University of Chicago, and Columbia. He has also received an honorary professorship from the People’s (Renmin) University of China. From 1994 to 1997, Dr. Mishkin was Director of Research and Executive Vice President at the Federal Reserve Bank of New York and an associate economist of the Federal Open Market Committee of the Federal Reserve System. From September 2006 to August 2008, he was a member (governor) of the Board of Governors of the Federal Reserve System.

Fred's research focuses on monetary policy and its impact on financial markets and the aggregate economy. He is the author of more than 20 books, including Financial Markets and Institutions, 9th Edition (Pearson, 2018); Macroeconomics: Policy and Practice, 2nd Edition (Pearson, 2015); The Next Great Globalization: How Disadvantaged Nations Can Harness Their Financial Systems to Get Rich (Princeton University Press, 2006); Monetary Policy Strategy (MIT Press, 2007); Money, Interest Rates, and Inflation (Edward Elgar, 1993); Inflation Targeting: Lessons from the International Experience (Princeton University Press, 1999); and A Rational Expectations Approach to Macroeconometrics: Testing Policy Ineffectiveness and Efficient Markets Models (University of Chicago Press, 1983). In addition, he has published more than 200 articles in such journals as Journal of Political Economy, Econometrica, Quarterly Journal of Economics, American Economic Review, Journal of Finance, and Journal of Monetary Economics.

Stanley Eakins

In Financial Markets and Institutions 8th edition (PDF), bestselling authors Frederic S. Mishkin and Stanley G. Eakins provide a practical introduction to prepare college students for today’s changing landscape of financial markets and institutions.

A unifying framework uses core principles to organize students’ thinking then examines the models as real-world scenarios from a practitioner’s perspective. By analyzing these applications, finance students develop the problem-solving and critical-thinking skills necessary to respond to challenging situations in their future careers. Although this textbook has undergone a major revision, the 8th Edition retains Mishkin/Eakins’ hallmark pedagogy that makes it the best-selling textbook on financial markets and institutions.

This program will provide a better teaching and learning experience – for you and your students. Here’s why:

  • Emphasis Critical Thinking with Key Features: Exercises and examples allow students to put into practice the concepts that they are learning.
  • Keep Your Course Current and Relevant: New material on financial markets and institutions and monetary policy appear throughout the textbook.
  • Help Students Transition from Classroom to Career with Real-Life Business Scenarios: Cases increase students’ interest by applying theory to real-world examples and data.
  • Organize Learning with a Unifying Analytic Framework: Core principles organize students’ thinking and then examine the models as real-world scenarios from a practitioner’s perspective.

P.S You can also buy Financial Markets and Institutions 8th edition’s test bank, solutions, and other instructor resources. Contact us for more info.

NOTE: This sale only includes Financial Markets and Institutions 8e in PDF. No online codes come with the purchase.

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