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Financial Markets and Institutions: An Introduction to the Risk Management Approach, 3/eAnthony Saunders,
New York University Marcia Millon Cornett, Southern Illinois University–Carbondale The Online Learning Center is designed to enhance your learning. Book specific content like quizzing, case studies, objectives, and Web links can all be accessed by choosing from the list to the left. These materials are designed to help you succeed in your course. Accessible, thoroughly up to date, and pedagogically rich, Saunders and Cornett’s Financial Markets and Institutions 3/e fits perfectly into the newest segment of the markets and institutions course area. Beginning with ten chapters on markets, the student is able to create a solid microeconomics focus while still building on the risk management/risk measurement framework. International coverage has been provided throughout the text and exceptional illustrations and examples make even the most difficult concepts, like derivatives, easy to learn. The Online Learning Center is designed to enhance your learning. Book specific content like quizzing, case studies, objectives, and Web links can all be accessed by choosing from the list to the left. These materials are designed to help you succeed in your course. Accessible, thoroughly up to date, and pedagogically rich, Saunders and Cornett’s Financial Markets and Institutions 3/e fits perfectly into the newest segment of the markets and institutions course area. Beginning with ten chapters on markets, the student is able to create a solid microeconomics focus while still building on the risk management/risk measurement framework. International coverage has been provided throughout the text and exceptional illustrations and examples make even the most difficult concepts, like derivatives, easy to learn. | |||
