000 01966nam#a2200265 4500
001 9781264364497
003 VST
005 20240703092241.0
006 m o d
007 cr#un#---uucau
008 210225s2021 eng d
020 _a9781264364497
040 _aVST
_cVST
_dVST
100 1 _aAnthony Saunders; Marcia Cornett; Otgo Erhemjamts
_eauthor
245 1 0 _aFinancial Markets and Institutions, 8th Edition
_h[Libro Electrónico - McGraw-Hill]
250 _aeighth edition
260 _aUnited Kingdom of Great Britain & Northern Ireland :
264 1 _aUnited Kingdom of Great Britain & Northern Ireland :
_bMcGraw-Hill Higher Education (International),
_c2021
300 _a1 online resource
336 _atext
_btxt
_2rdacontent
337 _acomputer
_bc
_2rdamedia
520 _aFinancial Markets and Institutions is aimed at the first course in financial markets and institutions at both the undergraduate and MBA levels. While topics covered in this book are found in more advanced textbooks on financial markets and institutions, the explanations and illustrations are aimed at those with little or no practical or academic experience beyond the introductory-level finance courses. In most chapters, the main relationships are presented by figures, graphs, and simple examples. The more complicated details and technical problems related to in-chapter discussion are provided in appendixes to the chapters. Since the author team's focus is on return and risk and the sources of that return and risk in domestic and foreign financial markets and institutions, this text relates ways in which a modern financial manager, saver, and investor can expand return with a managed level of risk to achieve the best, or most favorable, return–risk outcome. 
650 4 _aBusiness & Economics/Investments & Securities/General
856 4 0 _uhttps://bc.vitalsource.com/tenants/bibcent_ex/libraries?bookmeta_vbid=9781264364497
999 _c434828
_d434828