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Financial Markets and Economic Performance

- A Model for Effective Decision Making
Af: John E. Silvia Engelsk Hardback

Financial Markets and Economic Performance

- A Model for Effective Decision Making
Af: John E. Silvia Engelsk Hardback
Tjek vores konkurrenters priser

Effective decision making requires understanding of the underlying principles of financial markets and economics. Intellectually, economics and financial markets are genetically intertwined although when it comes to popular commentary they are treated separately. In fact, academic economic thinking appears separate from financial market equity strategy in most financial market commentary. Historically, macroeconomics tended to assume away financial frictions and financial intermediation whereas financial economists did not necessarily consider the negative macroeconomic spill overs from financial market outcomes.

In more recent years, the economic discipline has gone through a serious self-reflection after the global crisis. This book explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework that combines the actions of investors and individuals. Of interest to graduate students and those professionals working in the financial markets, it provides insight into why market prices move and credit markets interact and what factors participants and policy makers can monitor to anticipate market change and future price paths.

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Effective decision making requires understanding of the underlying principles of financial markets and economics. Intellectually, economics and financial markets are genetically intertwined although when it comes to popular commentary they are treated separately. In fact, academic economic thinking appears separate from financial market equity strategy in most financial market commentary. Historically, macroeconomics tended to assume away financial frictions and financial intermediation whereas financial economists did not necessarily consider the negative macroeconomic spill overs from financial market outcomes.

In more recent years, the economic discipline has gone through a serious self-reflection after the global crisis. This book explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework that combines the actions of investors and individuals. Of interest to graduate students and those professionals working in the financial markets, it provides insight into why market prices move and credit markets interact and what factors participants and policy makers can monitor to anticipate market change and future price paths.

Produktdetaljer
Sprog: Engelsk
Sider: 453
ISBN-13: 9783030762940
Indbinding: Hardback
Udgave:
ISBN-10: 3030762947
Kategori: Makroøkonomi
Udg. Dato: 1 aug 2021
Længde: 34mm
Bredde: 242mm
Højde: 160mm
Forlag: Springer Nature Switzerland AG
Oplagsdato: 1 aug 2021
Forfatter(e): John E. Silvia
Forfatter(e) John E. Silvia


Kategori Makroøkonomi


ISBN-13 9783030762940


Sprog Engelsk


Indbinding Hardback


Sider 453


Udgave


Længde 34mm


Bredde 242mm


Højde 160mm


Udg. Dato 1 aug 2021


Oplagsdato 1 aug 2021


Forlag Springer Nature Switzerland AG

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