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ISBN: 9781265561437 is an international edition of Financial Markets and Institutions 8th Edition by Anthony Saunders, Marcia Millon Cornett This ISBN is student textbook only. It does not come with online access code. Access code, if required by an instructor, sold separately at another ISBN. The content of International edition is the same as other formats. Financial Markets and Institutions is aimed at the first course in financial markets and institutions at both the undergraduate and MBA levels. While topics covered in this book are found in more advanced textbooks on financial markets and institutions, the explanations and illustrations are aimed at those with little or no practical or academic experience beyond the introductory-level finance courses. In most chapters, the main relationships are presented by figures, graphs, and simple examples. The more complicated details and technical problems related to in-chapter discussion are provided in appendixes to the chapters. Since the author team's focus is on return and risk and the sources of that return and risk in domestic and foreign financial markets and institutions, this text relates ways in which a modern financial manager, saver, and investor can expand return with a managed level of risk to achieve the best, or most favorable, return–risk outcome. Review: Academically broad but imperfect - This book covers more finance topics than I’ve ever seen. However, I found multiple mistakes, which is what happens when PhDs without work experience write portions of textbooks or let their students write sections without an editor. This is not the first McGraw Hill textbook that has incorrect information. McGraw Hill can do better. Review: Gooey - Gooey
| Best Sellers Rank | #1,236,755 in Books ( See Top 100 in Books ) #1,194 in Wealth Management (Books) |
| Customer Reviews | 4.4 out of 5 stars 40 Reviews |
M**N
Academically broad but imperfect
This book covers more finance topics than I’ve ever seen. However, I found multiple mistakes, which is what happens when PhDs without work experience write portions of textbooks or let their students write sections without an editor. This is not the first McGraw Hill textbook that has incorrect information. McGraw Hill can do better.
D**A
Gooey
Gooey
A**.
Does not provide an answer key to the end of chapter exercises
This book stinks in that it will not give you an answer key to see if your getting the answers correctly to the end of chapter exercises. Moreover, the book does not provide a solution manual or a study guide, so it is really a waste of money because your really just guessing if you know the material correctly. This company or author should really provide learning support tools such as a solution manual and study guide. Waste of money!!!
N**E
Difficult to navigate in e-version/repetitive and confusing
This book does not instruct well. There is repetition and a lack of clarity for complex concepts. Would not recommend it.
B**E
Valuable product
Good purchase, I was not expecting such a book about financial markets, there are a lot of information and the book is constructed in a way that enables us to assimilate the content proposed. A plenty of chapters which treat different kind of financial markets, it is just fantastic 👏. I recommend.
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