Economics for financial market 1st Edition by Brian Kettell – Ebook PDF Instant Download/Delivery. 0750653841 ,9780750653848
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ISBN 10: 0750653841
ISBN 13: 9780750653848
Author: Brian Kettell
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?
Economics for financial market 1st Edition Table of contents:
Chapter 1: Introduction to Financial Markets
- Understanding Financial Markets
- Types of Financial Markets (Equity, Bond, Derivatives, etc.)
- Market Participants: Investors, Institutions, and Regulators
- The Role of Financial Markets in Economic Development
Chapter 2: Basic Economic Concepts
- Supply and Demand
- Elasticity and Market Equilibrium
- Opportunity Cost and Trade-offs
- Microeconomics vs. Macroeconomics
- Market Structures (Perfect Competition, Monopoly, etc.)
Chapter 3: Money, Banking, and Financial Institutions
- The Role of Money in the Economy
- The Banking System and Its Functions
- Central Banks and Monetary Policy
- Commercial Banks and Other Financial Institutions
- Money Market and Capital Market Functions
Chapter 4: Macroeconomic Indicators and Their Impact on Financial Markets
- Gross Domestic Product (GDP)
- Unemployment and Inflation Rates
- Interest Rates and their Economic Implications
- Fiscal and Monetary Policies
- Business Cycle Analysis
Chapter 5: Interest Rates and Bond Markets
- Understanding Interest Rates
- The Term Structure of Interest Rates
- Bond Valuation and Risk
- Yield Curves and Their Economic Implications
- Central Bank Policy and Bond Markets
Chapter 6: Stock Markets and Equity Valuation
- Basics of Stock Markets
- Stock Valuation Models (Dividend Discount Model, P/E Ratios)
- Market Efficiency Hypothesis
- Behavioral Finance and Stock Prices
- Stock Market Indexes and Their Role
Chapter 7: Derivatives Markets and Risk Management
- Types of Derivatives: Options, Futures, and Swaps
- Pricing of Derivatives
- Hedging and Speculation Strategies
- Derivatives in Financial Crisis
- Risk Management Techniques for Investors
Chapter 8: The Global Economy and International Financial Markets
- Global Trade and Exchange Rates
- Foreign Exchange Market Mechanics
- International Capital Flows and Investment
- Impact of Global Events on Financial Markets
- Economic Integration and Financial Crises
Chapter 9: Behavioral Economics and Financial Decision Making
- Introduction to Behavioral Economics
- Investor Psychology and Market Behavior
- Market Anomalies and Bubbles
- The Role of Information in Financial Decisions
- Herding and Market Dynamics
Chapter 10: Financial Crises and Economic Policy Responses
- Causes and Effects of Financial Crises
- Case Studies: 2008 Global Financial Crisis, Eurozone Crisis
- Policy Responses to Financial Crises
- The Role of Regulation in Preventing Crises
- Lessons Learned from Past Financial Crises
Chapter 11: Forecasting Financial Markets
- Methods of Economic Forecasting
- Using Economic Indicators for Market Prediction
- Technical vs. Fundamental Analysis
- Forecasting Models and Their Limitations
- The Future of Financial Market Predictions
Chapter 12: Ethical and Regulatory Issues in Financial Markets
- The Role of Ethics in Financial Decision Making
- Regulatory Bodies and Their Functions (SEC, FSA, etc.)
- Insider Trading, Market Manipulation, and Fraud
- Global Financial Regulations
- Corporate Governance and Social Responsibility
Chapter 13: Case Studies in Financial Markets
- Analysis of Key Financial Market Events
- Case Study: Stock Market Crash of 1929
- Case Study: Asian Financial Crisis of 1997
- Case Study: The Dot-com Bubble
- Case Study: The Global Financial Crisis of 2008
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