Financial Markets and Institutions, 8th Edition (PDF) is a textbook designed for graduate, undergraduate, and MBA students taking their first course in financial markets and institutions. It is specifically tailored to those with limited practical or academic experience beyond introductory-level finance courses.
The book covers topics found in more advanced financial markets and institutions textbooks, but it presents the material in a way that is easy to understand. The authors use graphs, figures, and simple examples to illustrate the main concepts in each chapter. The more complex details and technical problems are provided in the appendixes at the end of each chapter.
The main focus of this textbook is to explore the relationships between return and risk, as well as the sources of return and risk in both domestic and foreign financial markets and institutions. It aims to teach modern financial managers, savers, and investors how to maximize return while managing risk effectively.
Here are some additional ISBNs for Financial Markets & Institutions, 8th Edition: 978-1265561437, 978-1260772401, 978-1264098729, 9781260772401, 978-1260772401, 1260772403, 978-1264206964, 9781264206964, 1264206968, 1264098723, 1260772403, 9781260772401, 978-1260772401, 1264098723, 978-1264207008, 9781264207008, 9781264098705, 978-1264098705, 9781265050375, 978-1265050375, 1265050376, 1264098707.
Please note: This sale only includes the ebook Financial Markets and Institutions, 8E, (International Edition) in PDF format. The content is the same as the North American/USA edition. Access codes are not included.