Financial Markets And Institutions(13th Edition)

Authors:

Jeff Madura

Free financial markets and institutions 13th edition jeff madura 0357130790, 978-0357130797
12 ratings
Cover Type: Paperback
Condition: Used/New

In Stock

Shipment time

Expected shipping within 2 - 5 Days
Access to 30 Million+ solutions Free
Ask 50 Questions from expert AI-Powered Answers
7 days-trial

Total Price:

$0

List Price: $20.14 Savings: $20.14(100%)
Access to 30 Million+ solutions
Ask 50 Questions from expert AI-Powered Answers 24/7 Tutor Help Detailed solutions for Financial Markets And Institutions

Price:

$9.99

/month

Book details

ISBN: 0357130790, 978-0357130797

Book publisher: Cengage Learning

Book Price $0 : Financial Markets and Institutions by Jeff Madura offers a comprehensive exploration of the functions and operations of financial markets and the institutions that serve them. This 13th edition is lauded for its depth in explaining complex concepts such as the behavior of interest rates, market efficiency, and risk management within economic systems. The book delves into the structure and management of securities markets, offering detailed insights into debt and equity securities, derivatives, and foreign exchange markets. With the 'solution manual,' students can gain hands-on experience solving practical problems that are often introduced in financial courses. Additionally, the 'Answer Key' helps reinforce understanding, making the textbook a vital teaching resource. The 'table of content' of the book is meticulously organized, ensuring a systematic exploration of topics like the roles of the Federal Reserve, interest rate determination, and financial system stability. This edition has been updated to reflect the significant changes in the economic environment, including new regulatory perspectives and technological advancements, making it highly relevant for students and professionals alike. Madura’s emphasis on contemporary events exemplifies the dynamic nature of financial markets and institutions, providing readers with a robust framework to analyze these systems critically. The book has been well-received for its clarity, comprehensive coverage, and applicability to real-world financial scenarios.