Capital Markets, Fifth Edition: Institutions, Instruments, and Risk Management (Mit Press)
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Capital Markets, Fifth Edition: Institutions, Instruments, and Risk Management (Mit Press)

by Frank J. Fabozzi

Finance Textbook Economics
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Capital Markets, Fifth Edition by Frank J. Fabozzi delves into the core elements of financial systems, including institutions, instruments, and risk management techniques. This MIT Press publication equips readers with essential knowledge for navigating complex market environments, making it a vital text for finance education and practice.

About This Book

Capital Markets, Fifth Edition provides an in-depth examination of the structures and operations within financial markets. It details the key institutions that facilitate capital allocation and investment activities.

The book covers a wide array of instruments used in capital markets, explaining their roles in funding and trading. Readers gain insights into how these tools function in various economic contexts.

Risk management is a central focus, with discussions on strategies to mitigate potential losses in market activities. The text emphasizes practical approaches to handling financial uncertainties.

Published by MIT Press, this edition updates previous content to reflect evolving market dynamics and regulatory changes. It serves as a foundational resource for understanding contemporary capital markets.

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