|
|
 |
|
Viewing report
|
|
 |
 |
Fixed Income Securities: Valuation, Risk, and Risk Management
John Wiley and Sons Ltd, Feb 2010, Pages: 848
The deep understanding of the forces that affect the valuation, risk and return of fixed income securities and their derivatives has never been so important. As the world of fixed income securities becomes more complex, anybody who studies fixed income securities must be exposed more directly to this complexity. This book provides a thorough discussion of these complex securities, the forces affecting their prices, their risks, and of the appropriate risk management practices. Fixed Income Securities, however, provides a methodology, and not a shopping list. It provides instead examples and methodologies that can be applied quite universally, once the basic concepts have been understood.
Product samples
A sample for this product is available. Please Login/Register to download this sample.
Customers who bought this item also bought
Venture Capital and the Finance of Innovation, 2nd Edition
The Handbook of Convertible Bonds: Pricing, Strategies and Risk Management
The Theory and Practice of Investment Management: Asset Allocation, Valuation, Portfolio Construction, and Strategies, 2nd Edition
Financial Services eLearning Library: Know-How Financial Services Courses
Financial Engineering and Arbitrage in the Financial Markets
Credit Risk Modeling using Excel and VBA: 2nd Edition
Interest Rate Swaps and Their Derivatives: A Practitioner's Guide
Risk Finance and Asset Pricing: Value, Measurements, and Markets
Fundamentals of Financial Instruments: An Introduction to Stocks, Bonds, Foreign Exchange,and Derivatives
Fixed Income Securities: Tools for Today's Markets, 3rd Edition
|
 |
|
|