Category Archives: Bank & Lembaga Keuangan

The Economics of Money, Banking, and Financial Markets By Frederic S. Mishkin

Frederic S. Mishkin
The Economics of Money, Banking, and Financial Markets

Eight Edition

Pearson – Addison Weasley
Note:
Ch 1-11 : Bank
Ch 12-22 : Monetary Economics
You can use “double click” on chapter or “right click” and then “save as” to download courses material (in PPT format)
App : Appendix

Chapter 0 : What is this course about?
PART 1 INTRODUCTION

Chapter 1 : Why Study Money, Banking, and Financial Markets?
Chapter 2 : An Overview of the Financial System
Chapter 3 : What is Money?
PART 2 FINANCIAL MARKETS
Chapter 4 : Understanding Interest Rate
Chapter 5 : The Behavior of Interest Rates
Chapter 6 : The Risk and Term Structure of Interest Rates
Chapter 7 : The Stock Market, the Theory of Rational Expectations, and the Effecient Market Hypothesis
PART 3 FINANCIAL INSTITUTIONS
Chapter 8 : An Economic Analysis of Financial Structure
Chapter 9 : Banking and the Management of Financial Institutions
Chapter 10 : Banking Industry: Structure and Competition
Chapter 11 : Economic Analysis of Banking Regulation
PART 4 CENTRAL BANKING AND THE CONDUCT OF MONETARY POLICY
Chapter 12 : Structure of Central Banks and the Federal Reserve System
Chapter 13 : Multiple Deposit Creation and the Money Supply Process
Chapter 14 : Determinants of the Money Supply
Chapter 15 : Tools of Monetary Policy
Chapter 16 : What Should Central Banks Do? Monetary Policy Goals, Strategy, and Tactics
PART 5 INTERNATIONAL FINANCE AND MONETARY POLICY
Chapter 17 : The Foreign Exchange Market
Chapter 18 : The International Financial System
PART 6 MONETARY THEORY
Chapter 19 : The Demand for Money
Chapter 20 : The IS-LM Model
Chapter 21 : Monetary and Fiscal Policy in the IS-LM Model
Chapter 22 : Aggregate Demand and Supply Analysis
Chapter 23 : Transmission Mechanisms of Monetary Policy: The Evidence
Chapter 24 : Money and Inflation
Chapter 25 : Rational Expectations: Implications for Policy

SUPLEMENTARY MATERIAL
Appendix to Ch 4 : MeasuringInterest-RateRisk: Duration
Chapter 4 Web Appendix
Chapter 5 Web Appendix
Chapter 14 Web Appendix
Notes on Adverse Selection
Notes on Moral Hazard
Model of Asset Pricing : A Primer on Statistics