UK Financial System
Theory and Practice
Manchester University Press
2nd Edition
Published on 5. October 1995
Book
Hardback
336 pages
978-0-7190-4815-9 (ISBN)
Description
A comprehensive explanation of the way in which the financial system of the United Kingdom works, and discussion of issues raised by extensive changes to the system. This text provides both the institutional structure and the economic theory behind the financial systems. The 17 chapters each take one aspect of financial systems as its theme and then provides, through sub-sections, a comprehensive analysis of the various concerns of that area. Opening chapters provide an introduction to financial systems and a consideration of flow of funds accounting. Other chapters cover financial institutions; financial markets, including the equity and bond markets, the sterling and Euro-security markets, foreign exchange and financial futures markets; management of risk; the single European Market; efficiency of the United Kingdom financial system; and prudential regulation.
More details
Edition
2nd Revised edition
Language
English
Place of publication
Manchester
United Kingdom
Target group
College/higher education
Edition type
Revised edition
Illustrations
glossary, index
Dimensions
Height: 234 mm
Width: 156 mm
ISBN-13
978-0-7190-4815-9 (9780719048159)
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Schweitzer Classification
Content
Introduction to the financial system; financial intermediation; retail banking; wholelsale and international banking; other deposit-taking institutions; investment institutions; introduction to financial markets; market for equities; interest rates and the bond market; the sterling money markets; the foreign exchange market; Euro-securities markets; financial derivatives; managing risk via the financial markets; the single European market in financial services; the efficiency of the UK financial system; regulation and the financial system.