John E. Silvia Silvia Financial Markets and Economic Performance

Financial Markets and Economic Performance

von John E. Silvia

A Model for Effective Decision Making

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Beschreibung

Effective decision making requires understanding of the underlying principles of financial markets and economics. Intellectually, economics and financial markets are genetically intertwined although when it comes to popular commentary they are treated separately. In fact, academic economic thinking appears separate from financial market equity strategy in most financial market commentary. Historically, macroeconomics tended to assume away financial frictions and financial intermediation whereas financial economists did not necessarily consider the negative macroeconomic spill overs from financial market outcomes.

In more recent years, the economic discipline has gone through a serious self-reflection after the global crisis. This book explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework that combines the actions of investors and individuals. Of interest to graduate students and those professionals working in the financial markets, it provides insight into why market prices move and credit markets interact and what factors participants and policy makers can monitor to anticipate market change and future price paths.

John Silvia is currently President of Dynamic Economic Strategy, LLC. Formerly, John was managing director and the chief economist for Wells Fargo Securities until July 2018. Based in Charlotte, North Carolina, he held that position since he joined Wachovia, a Wells Fargo predecessor, in 2002 as the company’s chief economist. Before his position at Wells, John worked on Capitol Hill as senior economist for the U.S. Senate Joint Economic Committee and chief economist for the U.S. Senate Banking, Housing and Urban Affairs Committee. Before that, he was chief economist of Kemper Funds and managing director of Scudder Kemper Investments, Inc. beginning in 1982. John holds B.A. and Ph.D. degrees in economics from Northeastern University in Boston and has a master’s degree in economics from Brown University.



Explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework

Emphasizes the interrelationships between four markets: goods, credit (both bank and bond market channels), equity capital, and foreign exchange

Provides insight on how to anticipate market change and future price paths


Explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework Emphasizes the interrelationships between four markets: goods, credit (both bank and bond market channels), equity capital, and foreign exchange Provides insight on how to anticipate market change and future price paths

Autor*in

John E. Silvia

Themen in »Financial Markets and Economic Performance«

Gross Domestic Product economic growth economic indicators financial/real market call commodity prices credit (interest rates) equity markets foreign exchange markets financial frictions financial intermediation financial markets

Stimmen zu »Financial Markets and Economic Performance«

Details

ISBN: 9783030762940
Verlag: Springer International Publishing
Erscheinung: 01.08.2021

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