Securities with fixed income. Management

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Author:Fabocsi Frank
Cover:Hard
Category:Business & Money
ISBN:978-5-8459-2151-2
Dimensions: 175x45x240cm
A publication recognized as the best source of securities information!

Since 1983, this book has been enjoying the unconditional authority of institutional investors, investment managers, financial analysts and everyone who needs proven information about the global securities market with fixed income. With each reprint, the book was replenished with new data on new financial instruments and strategies. As a result, we received a unique indestructive publication in which you can find any information on securities with fixed income. The leadership is characterized by professionalism, ease of use, high level of qualifications of experts, accuracy and completeness. Thanks to these features, the leadership remains an indispensable source of information about securities with fixed income.

The book is intended for investors, financial analysts, managers, economists, as well as for teachers and students of financial and economic faculties.

Thanks to the reliability and breadth of the material coverage of this book, both financial organizations and individual investors trust this book. Each head of the directory was written by leading specialists in his field. The book sets out basic information about securities with fixed income, describes the methods of their assessment and analysis, examine the modeling of credit risk, described in detail the management of the bond portfolio, the derivatives of financial instruments and their application are examined, and credit securities are described.

The manual is intended for managers, financiers, investors and all financial market professionals, as well as for teachers and students of financial universities.

The book discusses the following topics:
credit analysis and modeling of credit risk
Principles of credit analysis of municipal bonds
Analysis of structured securities
Modeling the risk of investment in valuable Papixions with fixed income
Evaluation of bonds and securities
Basic analysis of transactions based on the yield curve
The choice of bonds and the creation of a portfolio
Derivative financial instruments and their application
Convertible securities
About the authors
Frank J. Fabocsi-Dr. Philosophy, a certified financial analyst (CFA), editor of Journal of Portfolio Management, an adjunct professor for finance at the Yale University Management School. Fabocsi is one of the leading specialists in securities with fixed income and derivative financial instruments, the author and editor of dozens of universally recognized securities with fixed income and investment, in particular Fixed Income Mathematics, The handbook of Financial Instruments, Handbock of Mortgage Securities and many others.

Stephen V. Mann-Dr. Philosophy, professor at the Moore School at the University of South Carolina, has been working with companies working for Wall Street for more than twenty years. Mann is the author of many articles and released several securities of securities with fixed income and derivative financial instruments
Author:
Author:Fabocsi Frank
Cover:
Cover:Hard
Category:
  • Category:Business & Money
ISBN:
ISBN:978-5-8459-2151-2

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