
Financial Institutions & Markets
Nelson Australia (Publisher)
6th Edition
Published on 5. May 2011
Book
Paperback/Softback
464 pages
978-0-17-018844-9 (ISBN)
Description
Thoroughly updated, this new sixth edition of Financial Institutions and Markets focuses on Australia's financial system, while retaining the structure of the successful fifth edition. It examines the financial system's three main functions - settlement, flow-of-funds and risk transfer - and provides a clear and comprehensive integrated account of the activities of Australia's financial institutions and markets, including the risks they face and the instruments they use. As well, the major capital and foreign exchange markets and the markets for derivatives (and their use as hedging instruments) are discussed.
This new 6th edition covers recent financial innovations, such as high-frequency trading in the share market and APRA's adoption of Basel II (and Basel III) - an explanation of how the RBA assesses the financial system's stability. It also includes new 'Industry Insights' and 'Practical Applications' that illustrate specific topics, such as the role of margin loans and short selling in the demise of ABC Learning.
The main update for this new edition has been the development of 'Lessons from the GFC' that are designed to complement the book's explanations of a range of topics, such as the use of leverage, lending for housing, securitisation, the role of the inter-bank market, the pricing of risk in bond markets and the role of speculation in the market for Australian dollar.
This new 6th edition covers recent financial innovations, such as high-frequency trading in the share market and APRA's adoption of Basel II (and Basel III) - an explanation of how the RBA assesses the financial system's stability. It also includes new 'Industry Insights' and 'Practical Applications' that illustrate specific topics, such as the role of margin loans and short selling in the demise of ABC Learning.
The main update for this new edition has been the development of 'Lessons from the GFC' that are designed to complement the book's explanations of a range of topics, such as the use of leverage, lending for housing, securitisation, the role of the inter-bank market, the pricing of risk in bond markets and the role of speculation in the market for Australian dollar.
More details
Edition
6th edition
Language
English
Place of publication
United Kingdom
Publishing group
Cengage Learning EMEA
Target group
College/higher education
Professional and scholarly
Dimensions
Height: 253 mm
Width: 216 mm
Thickness: 15 mm
Weight
862 gr
ISBN-13
978-0-17-018844-9 (9780170188449)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Persons
Ben Hunt is an Associate Professor in the School of Finance and Economics. He is currently the Associate Dean (Teaching and Learning) after serving as Head, Graduate School of Business and Director of the MBA program. Ben has degrees from Adelaide University, including a Master's thesis on the Sydney Futures Exchange, and a Doctorate from the Australian National University. His PhD focussed on an examination of the determinants of Australian interest rates and exchange rates. He is widely regarded as an expert on risk management in the Asia-Pacific region and is a regular presenter for the Euromoney Institute of Finance. Chris Terry was awarded his Doctorate from New York University in 1975 the year in which he joined the New South Wales Institute of Technology. He has taught a range of subjects, including Microeconomics, Public Finance and Capital Markets and co-written four textbooks in the areas of Microeconomics, Microeconomic Policy and Financial Markets as well as contributing many chapters to books in these fields. Chris was Head of the Economics Department from 1983 to 1986, Head of School from 1987 to 1989, Associate Dean (Postgraduate Programs and Research) from 1994 to 1995 and once again Head of School from 1997 to 2004.
Content
1 Overview of the financial system
2 The payments system
3 Authorised deposit taking institutions
4 The stability of deposit taking institutions
5 Introduction to markets
6 Funds management
7 The money market
8 The bond market
9 Shares
10 The share market
11 Foreign exchange and global capital markets
12 Introduction to interest rate risk management
13 Financial futures
14 Swaps
15 Exchange-traded options
2 The payments system
3 Authorised deposit taking institutions
4 The stability of deposit taking institutions
5 Introduction to markets
6 Funds management
7 The money market
8 The bond market
9 Shares
10 The share market
11 Foreign exchange and global capital markets
12 Introduction to interest rate risk management
13 Financial futures
14 Swaps
15 Exchange-traded options