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Cover of Financial Markets

Financial Markets

Written by Mr. Rohit Manglik

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316 pages, about 6 hours of reading

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About this book

EduGorilla Publication is a trusted name in the education sector, committed to empowering learners with high-quality study materials and resources. Specializing in competitive exams and academic support, EduGorilla provides comprehensive and well-structured content tailored to meet the needs of students across various streams and levels.

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Reading guide

Themes, characters and key ideas in Financial Markets, written by Chaptra AI.

  • about 15 hours
  • intermediate
  • Informative
  • Instructive
  • Analytical

''Financial Markets'' by Mr. Rohit Manglik, published by EduGorilla Publication, is a comprehensive educational resource meticulously crafted for students preparing for competitive examinations in the business and economics sector. This textbook systematically covers fundamental and advanced concepts related to financial markets, instruments, institutions, and regulatory frameworks. It serves as an indispensable guide, offering well-structured content, theoretical explanations, and practical insights crucial for a robust understanding of global financial landscapes. The book's primary objective is to equip learners with the knowledge and analytical tools necessary to excel in challenging academic and professional assessments.

"Financial markets are platforms where financial assets are created and exchanged, facilitating the transfer of funds between savers and investors."

Key themes

Capital Formation and Allocation
This theme explores how financial markets facilitate the efficient channeling of savings into productive investments. It covers the mechanisms by which capital is raised by corporations and governments, and how these funds are allocated across various sectors of the economy to foster growth. The book details the instruments and institutions involved in this crucial process.
Risk Management and Mitigation
This theme delves into the various types of risks inherent in financial markets (e.g., market risk, credit risk, operational risk) and the strategies and instruments used to measure, monitor, and mitigate these risks. It emphasizes the importance of understanding and managing uncertainty for both individual investors and financial institutions.
Regulatory Frameworks and Governance
This theme focuses on the institutional and legal structures designed to govern financial markets, protect investors, ensure fair trading practices, and maintain systemic stability. It covers the roles of central banks, securities commissions, and other regulatory bodies in overseeing financial institutions and market operations.

Worth discussing

How do financial markets contribute to economic growth and development in a country?

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