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John E. Silvia

Financial Markets and Economic Performance: A Model for Effective Decision Making

Financial Markets and Economic Performance: A Model for Effective Decision Making

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Effective decision-making in finance requires an understanding of financial markets and economics, which are genetically intertwined. This book explores the interplay between financial markets and macroeconomic outcomes with a conceptual framework that combines the actions of investors and individuals. 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.

Format: Paperback / softback
Length: 453 pages
Publication date: 02 August 2022
Publisher: Springer Nature Switzerland AG


Effective decision-making in the realm of finance hinges on a comprehensive understanding of the fundamental principles governing financial markets and economics. While economics and financial markets are inherently interconnected, they are often treated as distinct entities in popular discourse. However, in academic circles, economic thinking tends to exist as a separate domain from financial market equity strategy, which is often the focus of financial market commentary.

Historically, macroeconomics has tended to overlook the role of financial frictions and intermediation, while financial economists have not always considered the negative macroeconomic consequences stemming from financial market outcomes. However, in recent years, the economic discipline has undergone a profound self-reflection in the aftermath of the global crisis. This book delves into the intricate interplay between financial markets and macroeconomic outcomes, employing a conceptual framework that integrates the actions of investors and individuals. It offers valuable insights to graduate students and professionals working in the financial markets, shedding light on the factors that drive market prices, influence credit markets, and shape the future trajectory of prices. By examining these dynamics, the book empowers participants and policy makers to anticipate market changes and develop strategies to navigate the ever-evolving financial landscape.

Weight: 730g
Dimension: 235 x 155 (mm)
ISBN-13: 9783030762971
Edition number: 1st ed. 2021

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