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This book discusses important aspects of fixed income securities in
emerging economies. Key features * Clarifies all conceptual and
analytical aspects of fixed income securities and bonds, and covers
important interest rate and credit derivative instruments in a
simple and practical way. * Examines topics such as classifications
of fixed income instruments; related risk-return measures; yield
curve and term structure of interest rates; interest rate
derivatives (forwards, futures and swaps), credit derivatives
(credit default swaps); and trading strategies and risk management.
* Provides step-by-step explanation of fixed income products by
including real-life examples, scenarios and cases, especially in
the context of emerging markets. * Presents consistent reference of
actual market practices to make the chapters practice oriented
while maintaining a lucid style complemented by adequate reading
inputs and clear learning outcomes. * Includes complete solutions
of numericals and cases for all chapters as an eResource on the
Routledge website to aid understanding. The book will serve as a
ready guide to both professionals from banking and finance industry
(fixed income/bond dealers; fund/investment/portfolio managers;
investment bankers; financial analysts/consultants; risk management
specialists), and those in academics, including students, research
scholars, and teachers in the fields of business management,
banking, insurance, finance, financial economics, business
economics, and risk management.
This book discusses important aspects of fixed income securities in
emerging economies. Key features * Clarifies all conceptual and
analytical aspects of fixed income securities and bonds, and covers
important interest rate and credit derivative instruments in a
simple and practical way. * Examines topics such as classifications
of fixed income instruments; related risk-return measures; yield
curve and term structure of interest rates; interest rate
derivatives (forwards, futures and swaps), credit derivatives
(credit default swaps); and trading strategies and risk management.
* Provides step-by-step explanation of fixed income products by
including real-life examples, scenarios and cases, especially in
the context of emerging markets. * Presents consistent reference of
actual market practices to make the chapters practice oriented
while maintaining a lucid style complemented by adequate reading
inputs and clear learning outcomes. * Includes complete solutions
of numericals and cases for all chapters as an eResource on the
Routledge website to aid understanding. The book will serve as a
ready guide to both professionals from banking and finance industry
(fixed income/bond dealers; fund/investment/portfolio managers;
investment bankers; financial analysts/consultants; risk management
specialists), and those in academics, including students, research
scholars, and teachers in the fields of business management,
banking, insurance, finance, financial economics, business
economics, and risk management.
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Emily Henry
Paperback
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R275
R254
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