Description

Book Synopsis
In response to evolving economic and competitive landscapes, this book underscores the increasing importance of focusing on both profit and risk. It provides a distinctive analysis of the risks encountered by investors and savers engaging with financial institutions and markets while offering strategies for effective risk management. Notably, the book explores emerging areas in finance, including asset securitization, off-balance-sheet activities, and the globalization of financial services. Emphasizing a risk measurement and management framework, it addresses the integration of domestic and foreign financial markets and the shift of financial intermediaries towards a unified financial services industry. 

The content, accessible to students at all levels, combines mathematical rigor with practical tools. It equips students with essential skills for comprehending and navigating the dynamic financial market environment, covering topics such as issuing and trading financial se

Financial Markets and Institutions 2024 Release

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    £55.79

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    RRP £61.99 – you save £6.20 (10%)

    Order before 4pm today for delivery by Fri 24 Jul 2026.

    A Paperback by Anthony Saunders

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      View other formats and editions of Financial Markets and Institutions 2024 Release by Anthony Saunders

      Publisher: McGraw-Hill Education
      Publication Date: Publication Date: 1/11/2024
      ISBN13: 9781266825811, 978-1266825811
      ISBN10: 1266825819

      Description

      Book Synopsis
      In response to evolving economic and competitive landscapes, this book underscores the increasing importance of focusing on both profit and risk. It provides a distinctive analysis of the risks encountered by investors and savers engaging with financial institutions and markets while offering strategies for effective risk management. Notably, the book explores emerging areas in finance, including asset securitization, off-balance-sheet activities, and the globalization of financial services. Emphasizing a risk measurement and management framework, it addresses the integration of domestic and foreign financial markets and the shift of financial intermediaries towards a unified financial services industry. 

      The content, accessible to students at all levels, combines mathematical rigor with practical tools. It equips students with essential skills for comprehending and navigating the dynamic financial market environment, covering topics such as issuing and trading financial se

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