Solution manual for Financial Markets and Institutions 8th Edition By Anthony Saunders

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  • ISBN-10 ‏ : ‎ 1260772403
  • ISBN-13 ‏ : ‎ 978-1260772401

Financial Markets and Institutions is aimed at the first course in financial markets and institutions at both the undergraduate and MBA levels. While topics covered in this book are found in more advanced textbooks on financial markets and institutions, the explanations and illustrations are aimed at those with little or no practical or academic experience beyond the introductory-level finance courses. In most chapters, the main relationships are presented by figures, graphs, and simple examples. The more complicated details and technical problems related to in-chapter discussion are provided in appendixes to the chapters.

Since the author team’s focus is on return and risk and the sources of that return and risk in domestic and foreign financial markets and institutions, this text relates ways in which a modern financial manager, saver, and investor can expand return with a managed level of risk to achieve the best, or most favorable, return–risk outcome.

About the Author

Anthony Saunders received his Ph.D. from the London School of Economics. He is John M. Schiff Professor of Finance and the former chair of the Department of Finance at the Stern School of Business at New York University. Dr. Saunders has taught both undergraduate and graduate level courses at New York University since 1978. Throughout his academic career, his teaching and research have specialized in financial institutions and international banking. He has served as a visiting professor all over the world, including INSEAD, the Stockholm School of Economics, and the University of Melbourne. He is currently on the Executive Committee of the Salomon Center for the Study of Financial Institutions, New York University. His research has been published in all the major money and banking and finance journals and in several books. In addition, he has authored or co-authored several professional books, the most recent of which is Credit Risk Measurement: New Approaches to Value at Risk and Other Paradigms.

Marcia Millon – Cornett Robert A. and Julia E. Dorn Professor of Finance at Bentley University. She received her BS degree in economics from Knox College in Galesburg, Illinois, and her MBA and PhD degrees in finance from Indiana University in Bloomington, Indiana. Dr. Cornett has written and published several articles in the areas of bank performance, bank regulation, corporate finance, and investments. Articles authored by Dr. Cornett have appeared in such academic journals as the Journal of Finance; Journal of Money, Credit, and Banking; Journal of Financial Economics; Financial Management; and Journal of Banking and Finance. She was recently ranked the 124th most published out of more than 17,600 authors and the number five female author in finance literature over the last 50 years. Along with Anthony Saunders and Otgontsetseg Erhemjamts, Dr. Cornett has recently completed work on the tenth edition of Financial Institutions Management (McGraw Hill Education) and the seventh edition of Financial Markets and Institutions (McGraw Hill Education). Professor Cornett serves as an associate editor for the Journal of Banking and Finance, Journal of Financial Services Research, Review of Financial Economics, Financial Review, and Multinational Finance Journal. Dr. Cornett has served as a member of the board of directors, the executive committee, and the finance committee of the SIU Credit Union. Dr. Cornett has also taught at Southern Illinois University at Carbondale, the University of Colorado, Boston College, and Southern Methodist University. She is a member of the Financial Management Association, the American Finance Association, and the Western Finance Association.

Otgo Erhemjamts is the Dean of the School of Management, and a Professor of Finance at the University of San Francisco. She received her PhD in Finance from Georgia State University. Her research interests are in corporate social responsibility, ESG, sustainable finance, corporate finance, and corporate governance. Her work has appeared in reputable academic journals including the Journal of Business Ethics; Journal of Banking and Finance; Journal of Money, Credit, and Banking; Journal of Financial Research; The Financial Review; and Journal of Risk & Insurance. She is in the top 10% of authors on SSRN by all-time downloads. Professor Erhemjamts taught graduate and undergraduate courses in investments, equity research, sustainable investing, corporate finance, risk management, and financial institutions courses at Bentley University and Georgia State University. She was a Co-Principal Investigator on a $2.4 million NSF IUSE Grant on “Broadening the fusion of STEM and business curricula in undergraduate sustainability education.”

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Solution manual for Financial Markets and Institutions 8th Edition By Anthony Saunders
Solution manual for Financial Markets and Institutions 8th Edition By Anthony Saunders

Original price was: $40.00.Current price is: $24.97.

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