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Prepared by Jeff Madura, Florida Atlantic University; Oliver Schnusenberg, St. Joseph's University. The Study Guide focuses on helping students test their knowledge of the material. It simulates test questions for key terms and key concepts, with numerous matching, multiple choice, and true/false questions for every chapter.
Table of Contents
Part I: OVERVIEW OF THE FINANCIAL ENVIRONMENT. Chapter 1: Role of Financial Markets and Institutions. Chapter 2: Determination of Interest Rates. Chapter 3: Structure of Interest Rates. Part II: THE FED AND MONETARY POLICY. Chapter 4: Functions of the Fed. Chapter 5: Monetary Theory and Policy. Part III: DEBT SECURITY MARKETS. Chapter 6: Money Markets. Chapter 7: Bond Markets. Chapter 8: Bond Valuation and Risk. Chapter 9: Mortgage Markets. Part IV: EQUITY MARKETS. Chapter 10: Stock Offerings and Investor Monitoring. Chapter 11: Stock Valuation and Risk. Chapter 12: Market Microstructure and Strategies. Part V: DERIVATIVE SECURITY MARKETS. Chapter 13: Financial Futures Markets. Chapter 14: Options Markets. Chapter 15: Interest Rate Derivative Markets. Chapter 16: Foreign Exchange Derivative Markets. Part VI: COMMERCIAL BANKING. Chapter 17: Commercial Bank Operations. Chapter 18: Bank Regulation. Chapter 19: Bank Management. Chapter 20: Bank Performance. Part VII: NONBANK OPERATIONS. Chapter 21: Thrift Operations. Chapter 22: Consumer Finance Operations. Chapter 23: Mutual Fund Operations. Chapter 24: Securities Operations. Chapter 25: Insurance and Pension Fund Operations. Appendix A: Comprehensive Project. Appendix B: Using Excel for Statistical Analysis.