BUKU karya Frederic S. Mishkin ini sedikit
banyak dilatarbelakangi oleh peristiwa bersejarah ekonomi dan krisis
keuangan pada akhir tahun 2008 yang mengubah seluruh lanskap uang dan
perbankan. Disajikan dengan unik yang menggambarkan kondisi keuangan dan perbankan terakhir serta menjelaskan isu-isu terbaru. Buku dengan judul The Economics of Money, Banking, and Financial Markets ini
terbagi menjadi dua bagian dan 25 bab ditambah suplemen atau tambahan.
Bagian pertama membahas masalah pernbangkan, sementara bagian kedua
membahas masalah ekonomi moneter. Berikut rinciannya:
Chapter 0 : What is this course about?
PART 1 INTRODUCTION
Chapter 1 : Why Study Money, Banking, and Financial Markets?
Chapter 2 : An Overview of the Financial System
Chapter 3 : What is Money?
PART 2 FINANCIAL MARKETS
Chapter 4 : Understanding Interest Rate
Chapter 5 : The Behavior of Interest Rates
Chapter 6 : The Risk and Term Structure of Interest Rates
Chapter 7 : The Stock Market, the Theory of Rational Expectations, and the Effecient MarketHypothesis
PART 3 FINANCIAL INSTITUTIONS
Chapter 8 : An Economic Analysis of Financial Structure
Chapter 9 : Banking and the Management of Financial Institutions
Chapter 10 : Banking Industry: Structure and Competition
Chapter 11 : Economic Analysis of Banking Regulation
PART 4 CENTRAL BANKING AND THE CONDUCT OF MONETARY POLICY
Chapter 12 : Structure of Central Banks and the Federal Reserve System
Chapter 13 : Multiple Deposit Creation and the Money Supply Process
Chapter 14 : Determinants of the Money Supply
Chapter 15 : Tools of Monetary Policy
Chapter 16 : What Should Central Banks Do? Monetary Policy Goals, Strategy, and Tactics
PART 5 INTERNATIONAL FINANCE AND MONETARY POLICY
Chapter 17 : The Foreign Exchange Market
Chapter 18 : The International Financial System
PART 6 MONETARY THEORY
Chapter 19 : The Demand for Money
Chapter 20 : The IS-LM Model
Chapter 21 : Monetary and Fiscal Policy in the IS-LM Model
Chapter 22 : Aggregate Demand and Supply Analysis
Chapter 23 : Transmission Mechanisms of Monetary Policy: The Evidence
Chapter 24 : Money and Inflation
Chapter 25 : Rational Expectations: Implications for Policy
SUPLEMENTARY MATERIAL
Appendix to Ch 4 : MeasuringInterest-RateRisk: Duration
Chapter 4 Web Appendix
Chapter 5 Web Appendix
Chapter 14 Web Appendix
Notes on Adverse Selection
Notes on Moral HazardModel of Asset Pricing : A Primer on Statistics
Appendix to Ch 4 : MeasuringInterest-RateRisk: Duration
Chapter 4 Web Appendix
Chapter 5 Web Appendix
Chapter 14 Web Appendix
Notes on Adverse Selection
Notes on Moral HazardModel of Asset Pricing : A Primer on Statistics
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