Written for undergraduate and graduate students of finance, economics and business, this textbook provides a fresh analysis of the European financial system. Combining theory, empirical data and policy, it examines and explains financial markets, financial infrastructures, financial institutions, and challenges in the domain of financial supervision and competition policy. Key features: • Designed specifically for courses on European financial integration • Clear signposting and presentation of text with learning objectives, boxes for key concepts and theories, chapter overviews and suggestions for further reading • Broad coverage of European financial system – markets, infrastructure and institutions • Explains the ongoing process of financial integration, in particular the impact of the euro • Examines financial systems of new member states • Uses up-to-date European data throughout A companion website will be available with exercises and freely downloadable solutions.
- ISBN13 9780521709521
- Publish Date 15 January 2009
- Publish Status Inactive
- Out of Print 3 September 2012
- Publish Country GB
- Imprint Cambridge University Press
- Format Paperback (US Trade)
- Pages 436
- Language English