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BOND MARKETS ANALYSIS AND STRATEGIES INTERNATIONAL EDITION
FABOZZI F. wydawnictwo: PEARSON HE, 2009, wydanie VII cena netto: 395.00 Twoja cena 375,25 zł + 5% vat - dodaj do koszyka For students enrolled in Fixed Income Securities Courses or Bond Markets Courses
Learn how to assess and invest in bonds with this best-selling text.
Fabozzi's Bond Markets is the most applied book on the market. It prepares
students to analyze the bond market and manage bond portfolios without getting bogged down
in the theory.
The new edition has been updated substantially, primarily for the latest developments in
structured products (mortgage-backed securities, asset-backed securities, and
collateralized debt obligations) and credit derivatives.
Table of Contents
1 Introduction
2 Pricing of Bonds
3 Measuring Yield
4 Bond Price Volatility
5 Factors Affecting Bond Yields and the Term Structure of Interest Rates
6 Treasury and Agency Securities
7 Corporate Debt Instruments
8 Municipal Securities
9 Non-U.S. Bonds
10 Residential Mortgage Loans
11 Agency Mortgage Pass-through Securities
12 Agency Collateralized Mortgage Obligations and Stripped
Mortgage-Backed Securities
13 Prime and Subprime Mortgage-Backed Securities
14 Commercial Loans and Commercial Mortgage-Backed Securities
15 Asset-Backed Securities
16 Cash Collateralized Debt Obligations
17 Interest Rate Models
18 Analysis of Bonds with Embedded Options
19 Analysis of Mortgage-Backed Securities
20 Analysis of Convertible Bonds
21 Corporate Bond Credit Analysis
22 Credit Risk Modeling
23 Active Bond Portfolio Management Strategies
24 Indexing
25 Liability Driven Strategies
26 Bond Performance Measurement and Evaluation
27 Interest Rate Futures
28 Interest Rate Options
29 Interest-Rate Swaps, Caps, and Floors
30 Credit Derivatives and Synthetic CDOs
Index
792 pages, Paperback
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