Archived lecture materials from ECON 304 — Money & Banking. Each link opens the original rendered lecture in a new tab.
Lectures
L-001
Ch4 Tvm Cont
L-010
Risk, Yield Curves & the Term Structure of Interest Rates
L-013
The Fisher Effect and the Loanable Funds Framework
L-014
Stock Valuation: The One-Period Model, the Gordon Growth Model, and the Efficient Market Hypothesis
L-015
Behavioral Finance & Market Anomalies
L-016
Adverse Selection in Financial Markets
L-017
FTX Collapse as a Lemons Problem
L-019
Balance Sheets & T-Accounts
L-020
Liquidity Management, Credit Risk & Interest Rate Risk
L-021
SVB Failure 2023 — Duration Mismatch in Action
L-022
Capital Requirements & the Basel Accords
L-023
Deposit Insurance, Too Big to Fail & the GENIUS Act
L-024
Consolidation, Shadow Banking & Fintech
L-025
Chime, Venmo, Zelle — Is Your Bank an App Now?
L-026
Anatomy of the 2007–2009 Global Financial Crisis
L-027
SVB / Signature 2023 Contagion — Parallels to 2008
L-028
The Federal Reserve: Structure, Independence & the Dual Mandate
L-029
Money Supply Process & Tools of Monetary Policy