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Books > Business & Economics > Finance & accounting > Finance > Investment & securities
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Unlocking Financial Data - A Practical Guide to Technology for Equity and Fixed Income Analysts (Paperback)
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Unlocking Financial Data - A Practical Guide to Technology for Equity and Fixed Income Analysts (Paperback)
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Investors recognize that technology is a powerful tool for
obtaining and interpreting financial data that could give them the
one thing everyone on Wall Street wants: an edge. Yet, many don’t
realize that you don’t need to be a programmer to access
behind-the-scenes financial information from Bloomberg, IHS Markit,
or other systems found at most banks and investment firms. This
practical guide teaches analysts a useful subset of Excel skills
that will enable them to access and interpret financial
information—without any prior programming experience. This book
will show analysts, step-by-step, how to quickly produce
professional reports that combine their views with Bloomberg or
Markit data including historical financials, comparative analysis,
and relative value. For portfolio managers, this book demonstrates
how to create professional summary reports that contain a
high-level view of a portfolio’s performance, growth,
risk-adjusted return, and composition. If you are a programmer,
this book also contains a parallel path that covers the same topics
using C#. Topics include: Access additional data that isn’t
visible on Bloomberg screens Create tables containing corporate
data that makes it possible to compare multiple companies, bonds,
or loans side-by- side Build one-page analytic (“Tear Sheet”)
reports for individual companies that incorporates important
financials, custom notes, relative value comparison of the company
to its peers, and price trends with research analyst targets Build
two-page portfolio summary report that contains a high-level view
of the portfolio’s performance, growth, risk-adjusted return, and
composition Explore daily prices and facility information for most
of the tradable corporate bond and loan market Determine the
relationship between two securities (or index) using correlation
and regression Compare each security’s performance to a cohort
made of up of securities with similar risk and return
characteristics Measure portfolio risk-adjusted return by
calculating variance, standard deviation, and Sharpe ratio Use
Markit data to identify meaningful trends in prices, new issue
spreads, and refinancings
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