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(p/b) exchange rates and international finance

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9780273786047

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Acclaimed for its clarity, Exchange Rates and International Finance provides an approachable guide to the causes and consequences of exchange rate fluctuations, enabling you to grasp the essentials of the theory and its relevance to major events in currency markets. The sixth edition appears against the background of a world only just recovering from the worst financial collapse in modern history and the ongoing crisis in the Eurozone. Since the last edition, this widely-used textbook has been extensively revised and restructured, with the addition of new material to take account of the most important events of recent years. NEW TO THE SIXTH EDITION - A new chapter on heterogeneous information, the exchange rate disconnect puzzle and the scapegoat model - Extended coverage of risk and the currency carry trade - New material on the 2008 banking crisis - Extended coverage of the Eurozone crisis - Discussion of China - US trade relations. This book is ideal for students of international finance, international macroeconomics or international money as a part of an economics or business programme at advanced undergraduate, MBA or specialist Masters levels. Laurence Copeland is Emeritus Professor of Finance and Director of the Investment Management Research Unit at Cardiff University, UK. (From the publisher)

Περιεχόμενα

Preface and acknowledgements
Introduction
Part 1
THE INTERNATIONAL SETTING
2 Prices in the open economy: purchasing power parity
3 Financial markets in the open economy
4 Open economy macroeconomics
Part 2
EXCHANGE RATE DETERMINATION
5 Flexible prices: the monetary model
6 Fixed prices: the Mundell-Fleming model
7 Sticky prices: the Dornbusch model
8 Portfolio balance and the current account
9 Currency substitution
10 General equilibrium models
Part 3
A WORLD OF UNCERTAINTY
11 Market efficiency and rational expectations
12 The 'news' model, exchange rate volatility and forecasting
13 The risk premium
Part 4
FIXED EXCHANGE RATES
14 Target zones
15 Crises and credibility
16 Optimum currency areas, monetary union and the eurozone
Part 5
ALTERNATIVE PARADIGMS
17 Heterogeneous expectations and scapegoat models
18 Order flow analysis
19 A certain uncertainty: nonlinearity, cycles and chaos
Part 6
CONCLUSIONS
Appendix: list of symbols
Κατάσταση Βιβλίου :
Καινούριο
Συγγραφέας:
S. LAWRENCE COPELAND
Εκδότης :
PEARSON EDUCATION
ISBN:
ISBN: 9780273786047
Αριθμός Σελίδων :
ΣΕΛΙΔΕΣ: 592
Ημερομηνία έκδοσης:
2014
Διαστάσεις:
24x19
Τύπος Βιβλίου: :
ΕΝΤΥΠΗ ΕΚΔΟΣΗ