
Finance and Financial Markets
Keith Pilbeam(Author)
Bloomsbury Academic (Publisher)
5th Edition
Will be published approx. on 18. February 2027
Book
Hardback
568 pages
978-1-350-51348-8 (ISBN)
Description
This popular textbook offers a broad and accessible introduction to the building blocks of modern finance: financial markets, institutions and instruments.
Theory is blended with real-world data, cases and numerical worked examples to offer a broad and accessible introduction to the building blocks of modern finance in the 5th edition of Finance and Financial Markets. The book features assessment and self-test resources to help support students and lecturers, as well as extensive discussion of regulatory developments, case studies involving FinTech and Brexit and fully updated data. An updated companion website is also available which offers lecturer slides and multiple choice questions. This new edition has updated data and cases throughout, ensuring that it is as up-to-date as possible in this fast-moving area. New material has been introduced relating to environmental, social and governance (ESG) factors, emerging markets and sustainable finance.
The opening five chapters provide an introduction to the world of finance and cover the basic theory relating to the operation of financial institutions and the domestic and offshore (Eurocurrency) money markets. Chapters 6 to 10 deal with both the theory and practice relating to capital markets. The theory covers areas such as portfolio diversification, the capital asset pricing model, the Gordon growth model and the efficient market hypothesis, while the practice looks at the domestic and international bond markets and equity markets. After an examination of the foreign exchange market and forward markets, the final chapters of this comprehensive textbook cover derivative instruments, financial innovations and, as a closing reflection, financial regulation.
Finance and Financial Markets is ideally suited to students at all levels who take economics, business and finance courses, as well as for those who want to understand the workings of the modern financial world.
Theory is blended with real-world data, cases and numerical worked examples to offer a broad and accessible introduction to the building blocks of modern finance in the 5th edition of Finance and Financial Markets. The book features assessment and self-test resources to help support students and lecturers, as well as extensive discussion of regulatory developments, case studies involving FinTech and Brexit and fully updated data. An updated companion website is also available which offers lecturer slides and multiple choice questions. This new edition has updated data and cases throughout, ensuring that it is as up-to-date as possible in this fast-moving area. New material has been introduced relating to environmental, social and governance (ESG) factors, emerging markets and sustainable finance.
The opening five chapters provide an introduction to the world of finance and cover the basic theory relating to the operation of financial institutions and the domestic and offshore (Eurocurrency) money markets. Chapters 6 to 10 deal with both the theory and practice relating to capital markets. The theory covers areas such as portfolio diversification, the capital asset pricing model, the Gordon growth model and the efficient market hypothesis, while the practice looks at the domestic and international bond markets and equity markets. After an examination of the foreign exchange market and forward markets, the final chapters of this comprehensive textbook cover derivative instruments, financial innovations and, as a closing reflection, financial regulation.
Finance and Financial Markets is ideally suited to students at all levels who take economics, business and finance courses, as well as for those who want to understand the workings of the modern financial world.
More details
Edition
5th edition
Language
English
Place of publication
London
United Kingdom
Publishing group
Bloomsbury Publishing PLC
Target group
College/higher education
Illustrations
72 figures, 98 tables
Dimensions
Height: 246 mm
Width: 189 mm
Thickness: 26 mm
ISBN-13
978-1-350-51348-8 (9781350513488)
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
Person
Keith Pilbeam is Professor of International Economics and Finance at City, University of London, UK.
Content
1 The World of Finance
2 Financial Intermediation and Financial Markets
3 Financial Institutions
4 Monetary Policy and Interest Rate Determination
5 Domestic and International Money Markets
6 The Domestic and International Bond Market
7 Portfolio Analysis: Risk and Return in Financial Markets
8 The Capital Asset Pricing Model
9 Stockmarkets and Equities
10 The Efficiency of Financial Markets
11 The Foreign Exchange Market
12 Theories of Exchange Rate Determination
13 Financial Futures
14 Options
15 Option Pricing
16 Swap Markets
17 Financial Innovation and the Credit Crunch
18 Regulation of the Financial Sector
2 Financial Intermediation and Financial Markets
3 Financial Institutions
4 Monetary Policy and Interest Rate Determination
5 Domestic and International Money Markets
6 The Domestic and International Bond Market
7 Portfolio Analysis: Risk and Return in Financial Markets
8 The Capital Asset Pricing Model
9 Stockmarkets and Equities
10 The Efficiency of Financial Markets
11 The Foreign Exchange Market
12 Theories of Exchange Rate Determination
13 Financial Futures
14 Options
15 Option Pricing
16 Swap Markets
17 Financial Innovation and the Credit Crunch
18 Regulation of the Financial Sector