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  <titleInfo>
    <title>Financial markets and institutions</title>
  </titleInfo>
  <name type="personal">
    <namePart>Mishkin, Frederic S.</namePart>
    <role>
      <roleTerm authority="marcrelator" type="text">creator</roleTerm>
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  <name type="personal">
    <namePart>Eakins, Stanley G.</namePart>
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  <typeOfResource>text</typeOfResource>
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    <place>
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    <publisher>Pearson Education</publisher>
    <dateIssued>c2012</dateIssued>
    <dateIssued encoding="marc">2012</dateIssued>
    <edition>Global edition</edition>
    <issuance>monographic</issuance>
  </originInfo>
  <language>
    <languageTerm authority="iso639-2b" type="code">eng</languageTerm>
  </language>
  <physicalDescription>
    <form authority="marcform">print</form>
    <extent>xxxix, [39], 623 p. : ill. (some col.) ; 27 cm.</extent>
  </physicalDescription>
  <tableOfContents>Introduction -- Why study financial markets and institutions? -- Overview of the financial system -- Fundamentals of financial markets -- What do interest rates mean and what is their role in valuation? -- Why do interest rates change? -- How do risk and term structure affect interest rates? -- Are financial markets efficient? -- Fundamentals of financial institutions -- Why do financial institutions exist? -- Why do financial crises occur and why are they so damaging to the economy? -- Central banking and the conduct of monetary policy -- Central banks and the federal reserve system -- Conduct of monetary policy: tools, goals, strategy, and tactics -- Financial markets -- The money markets -- The bond market -- The stock market -- The mortgage markets -- The foreign exchange market -- The international financial system -- The financial institutions industry -- Banking and the management of financial institutions -- Financial regulation -- Banking industry: structure and competition -- The mutual fund industry -- Insurance companies and pension funds -- Investment banks, security brokers and dealers, and venture capital firms -- The management of financial institutions -- Risk management in financial institutions -- Hedging wit.</tableOfContents>
  <note type="statement of responsibility">Frederic S. Mishkin, Stanley G. Eakins.</note>
  <note>Includes index.</note>
  <note>Authorised adaptation from the United States edition, entitled Financial Markets and Institutions, ISBN 978-0-13-21-3683-9 by Frederic S. Mishkin and Stanely G. Eakins, published by Pearson Education as Prentice Hall c2012.</note>
  <subject>
    <geographicCode authority="marcgac">n-us---</geographicCode>
  </subject>
  <subject authority="lcsh">
    <topic>Financial institutions</topic>
    <geographic>United States</geographic>
  </subject>
  <subject authority="lcsh">
    <topic>Money</topic>
    <geographic>United States</geographic>
  </subject>
  <subject authority="lcsh">
    <topic>Money market</topic>
    <geographic>United States</geographic>
  </subject>
  <subject authority="lcsh">
    <topic>Banks and banking</topic>
    <geographic>United States</geographic>
  </subject>
  <classification authority="lcc">HG181 .M558 2012</classification>
  <classification authority="ddc" edition="22">332.10973</classification>
  <relatedItem type="series">
    <titleInfo>
      <title>The Prentice Hall series in finance</title>
    </titleInfo>
  </relatedItem>
  <identifier type="isbn">9780273754442</identifier>
  <identifier type="isbn">0273754440</identifier>
  <identifier type="lccn">2010048490</identifier>
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