書名: Fundamentals of Financial Instruments 2/e (2版)
作者: Parameswaran
版次: 2
ISBN: 9781119816614
出版社: John Wiley
出版日期: 2022/01
書籍開數、尺寸: 25.7*18.5
重量: 1.25 Kg
頁數: 560
#會計與財務
#金融市場與機構
#衍生性金融商品
定價: 1680
售價: 1562
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【簡介】 In the newly revised Second Edition of Fundamentals of Financial Instruments: An Introduction to Stocks, Bonds, Foreign Exchange, and Derivatives, renowned finance trainer Sunil Parameswaran delivers a comprehensive introduction to the full range of financial products commonly offered in the financial markets. Using clear, worked examples of everything from basic equity and debt securities to complex instruments–like derivatives and mortgage-backed securities–the author outlines the structure and dynamics of the free-market system and explores the environment in which financial instruments are traded. This one-of-a-kind book also includes: New discussions on interest rate derivatives, bonds with embedded options, mutual funds, ETFs, pension plans, financial macroeconomics, orders and exchanges, and Excel functions for finance Supplementary materials to enhance the reader’s ability to apply the material contained within A foundational exploration of interest rates and the time value of money Fundamentals of Financial Instruments is the ideal resource for business school students at the undergraduate and graduate levels, as well as anyone studying financial management or the financial markets. It also belongs on the bookshelves of executive education students and finance professionals seeking a refresher on the fundamentals of their industry. 【目錄】 Chapter 1 An Introduction to Financial Institutions, Instruments, and Markets Chapter 2 Mathematics of Finance Chapter 3 Equity Shares, Preferred Shares, and Stock Market Indices Chapter 4 Bonds Chapter 5 Money Markets Chapter 6 Forward and Futures Contracts Chapter 7 Options Contracts Chapter 8 Foreign Exchange Chapter 9 Mortgages and Mortgage-backed Securities Chapter 10 Swaps Chapter 11 Mutual Funds, ETFs, and Pension Funds Chapter 12 Orders and Exchanges Chapter 13 The Macroeconomics of Financial Markets Chapter 14 Interest Rate Derivatives

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