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Money, Banking and Financial Markets

PACE UNIVERSITY
Lubin School of Business
MBA Program
Pace Plaza, NY, NY

FIN 644 – Money, Banking and Capital Markets

Stephen G Cecchetti (Brandeis University), Money, Banking and Financial Markets (McGraw-Hill, 2006) ISBN: 0072452692

Date  Topic                                                                                                                                                                          

Sept. 7 Introduction.  The five components of financial markets. The five themes of the course (“TRIMS-TimeRiskInformationMoneyStability”).  Money and payments system. 
                        CASE: Where Are the $100 Bills? (p. 28)                                      Chapters 1-2

Sept. 14 Payment system, overview of financial instruments and markets. Present value and interest rates.
                      
CASE:  Terrorism Insurance (p. 38).                                               Chapters  3-4

Sept. 21 Risk. Bonds and determinants of interest rates. 
                        CASE: Government-Run Lotteries (p. 101).                                 Chapters  5-6

Sept. 28 Risk and term structure of interest rates (Prof. Hormozi).  
                       CASE: Michael Milken and Junk Bonds (p. 157).            Chapter 7

 

 

Oct. 5 Stocks and Market Efficiency (Prof. Hormozi)

 

 

                        CASE: Are Stock Market Prices Too High or Low? (p. 191).                                                                                      8

 

 

Oct. 12 Derivatives and Foreign Exchange

 

 

                        CASE: Long Term Capital Management (p. 222).                                                                                                        9-10

 

 

Oct. 19 Economics of Financial Intermediaries. Banks.

 

 

                        CASE: The Rogue Trader, Nick Leeson (p. 308). How does it compare with the Amaranth Losses?                      11-12 

 

 

Oct. 26 Mid-Term, covering Chapters 1-12                                                                                                                                                                   

 

 

Nov. 2 Financial Industry Structure. Hedge Funds, Private Equity, Venture Capital. Regulating the Financial System.

 

 

                        CASE: Deposit Insurance Ceilings (p. 360).                                                                                                                13-14

 

 

Nov. 9 Central banking in the USA (Federal Reserve) and Europe.

 

 

                        CASE: The Evolution of Federal Reserve Independence (p. 412).                                                                             15-16

 

 

Nov. 16 The Central Bank Balance Sheet. Monetary Policy and Interest Rates.

 

 

                        CASE: The Fed Response on 9/11/01 (p. 439).                                                                                                          17-18

 

 

Nov. 30 Exchange-Rate Policy. Money Growth. 

 

 

                        CASE: The Gold Standard – Should You Buy Gold Today? (pp. 504,507).                                                                19-20

 

 

Dec. 7 Modern Monetary Policy. Understanding Business Cycles. Monetary Policy in the Short Run

 

 

                        CASE: Stagflation in the 1970s (p. 634).                                                                                                                    21-22-23

 

 

Dec. 14  Final Exam, covering Chapters 1-23
Oct. 5 Stocks and Market Efficiency (Prof. Hormozi)                         CASE: Are Stock Market Prices Too High or Low? (p. 191).                                                                                      8 Oct. 12 Derivatives and Foreign Exchange                         CASE: Long Term Capital Management (p. 222).                                                                                                        9-10 Oct. 19 Economics of Financial Intermediaries. Banks.                         CASE: The Rogue Trader, Nick Leeson (p. 308). How does it compare with the Amaranth Losses?                      11-12  Nov. 2 Financial Industry Structure. Hedge Funds, Private Equity, Venture Capital. Regulating the Financial System.                         CASE: Deposit Insurance Ceilings (p. 360).                                                                                                                13-14 Nov. 9 Central banking in the USA (Federal Reserve) and Europe.                         CASE: The Evolution of Federal Reserve Independence (p. 412).                                                                             15-16 Nov. 16 The Central Bank Balance Sheet. Monetary Policy and Interest Rates.                         CASE: The Fed Response on 9/11/01 (p. 439).                                                                                                          17-18 Nov. 30 Exchange-Rate Policy. Money Growth.                          CASE: The Gold Standard – Should You Buy Gold Today? (pp. 504,507).                                                                19-20 Dec. 7 Modern Monetary Policy. Understanding Business Cycles. Monetary Policy in the Short Run                         CASE: Stagflation in the 1970s (p. 634).                                                                                                                    21-22-23

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