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005 20250213145701.0
006 a||||fr|||| 00| 0
008 211122s2019 us dlk|frn||| 00| 0 engsd
020 _a978-1-260-09195-3
_qAgencia ISBN EE.UU
040 _aBiblioteca Central de la Universidad Nacional Agraria de la Selva.
_bspa
_cCatalogación de la Universidad Nacional Agraria de la Selva, transcrita por la Universidad Nacional Agraria de la Selva, sin modificaciones posteriores.
_dBiblioteca Central de la Universidad Nacional Agraria de la Selva.
_erda
041 0 _aeng
_heng
082 0 4 _a332.2
_222
245 1 0 _aFinancial Markets and Institutions :
_cAnthony Saunders [y] Marcia Millon Cornett.
246 _5Universidad Nacional Agraria de la Selva.
_aFinancial Markets and Institutions
250 _aseventh edition
264 3 1 _aNew York :
_bMcGraw-Hill Education ,
_c2019.
264 3 4 _c©2019
264 3 4 _aUnited States of America :
_bMcGraw-Hill Education,
_c2019
300 _a762 páginas :
_bMapa (colores) , cuadros (colores) ;
_c28 cm .
336 _2rdacontent
_atexto impreso
337 _2rdamedia
_asin mediación
338 _2rdacarrier
_avolumen
500 _aIncluye securitization of other assets.
500 _aIncluye references
500 _aIncluye index
505 0 _a1. Introduction and overview of financial markets -- 1Introduction -- 2. Determinants of interest rates -- 3. Interest rates and security valution -- 4. the federal reserve system, monetary policy, and interest rates -- Part 2. Segurities markets -- 5. Money marketc -- 6. Bond markets -- 7.Mortgage markets -- 8. Stock markets -- 9. Foreign exchange markets -- 10. Derivative securities markets -- Part 3. Commercial banks -- 11. Commercial Banks: Industry overview -- 12. Commercial Banks financial statements and analysis --13. Regulation of commercial banks -- Part 4. Other financial institucional -- 14. Other lending institutions -- 15. Insurance companies -- 16. Securities firms and investment banks --17. Investment companies -- 18. Pension funds -- Part 5. Risk management in financial institutions -- 20. Managing credit risk on the balance sheet -- 21. Managing liquidity risk on the balance sheet -- 22. Managing interest rate risk and insolvency risk on the balance sheet -- 23. Managing risk off the balance sheet with derivative securities -- 24. Managing risk off the balance sheet with loan sales and securitization .
520 2 _a"Financial Markets and Institutions" by Anthony Saunders and Marcia Millon Cornett is an academic textbook that provides a detailed analysis of financial markets and the institutions that make them up. The book addresses the risks faced by investors and savers when interacting through these entities, presenting strategies to control and manage those risks. Special attention is given to emerging areas in financial operations, such as asset securitization, off-balance-sheet activities, and the globalization of financial services.
521 3 _aMaterial bibliográfico para estudiantes universitarios, docentes e investigadores.
526 0 _aEconomia
546 _aEn Español.
942 _2ddc
_cBK
998 _baeoa
_caeoa/jjrg/bmsda/zmvv/dyms
999 _c163486
_d163486