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《国际金融市场(第三版)》
国际金融市场(第三版)
作者:(美)戈莱比
译者:刘曼红
开本:16开
ISBN:730002919
出版社:中国人民大学出版社
出版日期:1998-10-01
装帧:精装
书夫曼编号:619390
原价: 45
普通会员:42.08  一星会员:40.82
二星会员:39.98  三星会员:39.13

内容简介
  J·奥林·戈莱比博士的《国际金融市场》(第三版)填补了国际金融市场教材上的空白。在过去的国际金融领域里,大部分教材都是以外汇、国际资本流动、国际金融机构等为中心的,很少从国际金融市场本身着眼。本书的出版,及时适应了国际经济发展的需要。它思路清晰、层次 分明,紧紧围绕国际金融市场的外汇市场、欧洲货币市场和国际债券市场和国际债券市场三个分支展开。每一个市场又分别从市场的历史背景、市场的体制及其运行、市场的经济情况和市场的经济统计资料四个方面进行论述。在分别对这三个市场进行了剖析之后,本书还探讨了当今国际金融市场上的其他实际问题,如汇率的变化以及这些变化对经济决策的影响。因此,无论理论上还是从研究方法上,本书都不同于标准经济学中的国际金融教材,它侧重于国际金融市场的运行和操作,可以作为管理和金融专业及MBA的教材,也可作为直接参与国际金融市场实际工作的人的 重要参考资料和工具书。

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目录

目        录  目录                                      I篇  国际金融体系的历史                                      1章  布雷顿森林的升起与降落                                      外汇和黄金价格的固定化                                      冷战,  马歇尔计划和欧洲的统一                                      美元的限制和欧洲美元市场的起源                                      黄金政治与特别提款权                                      《布雷顿森林协议》的崩溃                                      2章  全球化和金融衍生工具的成长                                      外汇市场的发展                                      欧洲货币市场的发展                                      国际债券市场的发展                                      从蛇到欧洲货币体系                                      《马斯特里赫特条约》                                      国际债务危机                                      日本金融市场的开放                                      3章  1994年-1996年的崩溃及以后                                      概论:未来的印象                                      世界贸易与经济学的重商主义理论                                      对金融衍生工具的政治性的和经常性的攻击                                      国际金融政策的社会影响                                      金融崩溃的过程                                      II篇  外汇市场                                      4章  外汇市场导论                                      造市者与瓦尔拉斯式拍卖者                                      货币交易的机制                                      来自外汇敞口的风险                                      结算日期                                      外汇管制                                      5章  远期交易.  掉期交易和利率平价                                      远期汇率报价                                      利率平价                                      利率平价与掉期交易                                      利率平价偏差                                      存在买/卖差价的利率平价                                      利率平价与信息成本                                      远期市场与利率:历史背景                                      远期合约与双重货币债券                                      6章  外币期货导论                                      国际货币市场                                      监管与担保                                      保证金要求                                      期货合约与远期合约的比较                                      外汇交易及买卖                                      通过期货套期保I直                                      期货价格与现货价格的关系                                      计算德尔塔(△)套期保值的风险                                      注意易变的相关系数                                      外汇风险管理与赌博者的毁灭性问题                                      保证金管理                                      外汇期货市场的经济功能                                      7章  外币期权导论                                      现汇期权                                      外币期货期权                                      期货式期权                                      外币期权市场                                      作为外币保险的外汇期权                                      开立外币期权                                      外汇期权定价的一些基本原则                                      外汇期权定价的更深奥原则                                      外汇期权定价模型                                      美式外汇期权的定价                                      套期保值和风险管理中的一些期权概念                                      隐含的波动性                                      外汇期权中的造市                                      范围远期与柱形期权                                      其他远期期权                                      平均汇率(亚式)外汇期权                                      障碍期权                                      期权的期权                                      回头期权                                      期权与期货:一个简短的历史回顾                                      附录:计算美式外汇期权的价值                                      III篇  欧洲货币市场                                      8章  欧洲银行和欧洲货币中心                                      欧洲银行业务                                      欧洲货币中心西欧                                      欧洲货币存款和国家风险                                      欧洲货币市场规则                                      9章  存款交易和欧洲货币的利率期限结构                                      银行同业市场                                      利率的期限结构                                      远期利率合约                                      收益率曲线                                      10章  欧洲货币的期货和期权                                      欧洲货币的期货与期权                                      欧洲美元的收益率曲线与国际货币币场上的掉期                                      利用欧洲美元期货进行套期保值                                      利率期权与欧洲美元期货期权                                      利率上限,  利率下限和利率上下限                                      LIBOR利率期权与远期利率合约                                      11章  欧洲货币的辛迪加贷款                                      辛迪加银团                                      贷款成本                                      贷款协议和贷款风险                                      欧洲货币贷款的二级市场                                      参与贷款互换                                      欧洲票据和欧洲商业票据                                      IV篇  国际债券市场                                      12章  国际债券市场导论                                      欧洲债券特点                                      美国对欧洲美元债券发行的法律规定                                      销售限制                                      私募豁免                                      预扣税和无记名债券                                      扬基债券                                      德国马克欧洲债券与德国马克外国债券                                      武士债券和日元欧洲债券                                      瑞士法郎国际债券                                      13章  欧洲债券市场发债程序                                      传统的欧洲债券银团组织结构                                      欧洲债券发行的费用结构                                      欧洲债券发行的传统时间安排                                      灰色市场                                      稳定市价                                      发债程序的变化                                      14章  欧洲债券的定价和套期保值交易                                      利率市场的时间测度清算                                      利率与附息票债券的价格                                      欧洲债券的定价                                      附息票债券的远期价格                                      债券期货                                      债券期货套期保值                                      15章    利率掉期和货币掉期                                      掉期的经济目的                                      货币掉期的种类                                      利率掉期                                      掉期市场                                      掉期定价                                      上限.  下限和上下限                                      掉期期权                                      掉期期权的定价                                      掉期协议的风险                                      16章  具有期权性质的国际债券的定价                                      导论                                      确定债券的期权特性                                      具有期权性质的债券定价:数字实例                                      债券现货的期权                                      债券期货的期权                                      可提前赎回债券                                      V篇  国际金融选题                                      17章  预测和对未来的设想                                      社会:一个自组织系统                                      自组织和对未来的设想                                      信息交易者和现实的社会建设                                      无成本预测:投机效率假说                                      投机者特征                                      即期汇率的鞅特征                                      附录:一元线性回归及统计推断                                      18章  国际金融市场上的混沌                                      金苹果的滚动                                      预测以多快的速度出错:李雅普诺夫指数                                      构造预测模型的困难                                      外汇建模和预测的方法                                      预测模型的评估                                      19章  外汇和利率的分形分布                                      分形,  跳蚤和灰尘                                      分形分布:布朗运动                                      分形布朗运动和赫斯特指数                                      市场骤跌和非正态稳定分布                                      相关积分与相关维数                                      预测误差及风险                                      国际大环境下的组合选择                                      20章  购买力平价说                                      引言                                      一价定律                                      购买力平价的绝对形式                                      购买力平价的相对形式                                      相对通货膨胀率                                      实际汇率                                      经验证明及理论上的重新设定                                      21章  中央银行和国际收支                                      国际交易账户                                      经常项目                                      资本顶目                                      资本顶目和中央银行干预                                      资产组合选择和国际收支                                      外汇市场上央行有选择地干预                                      22章  欧洲货币体系                                      汇率机制                                      平价关系中平价值的计算                                      围绕平价干预幅度的计算                                      偏离指数的计算                                      货币危机和欧洲货币体系前景展望


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