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Bond and Money Markets - Moorad Choudhry

Bond and Money Markets

Strategy, Trading, Analysis

(Autor)

Buch | Softcover
1152 Seiten
2003
Butterworth-Heinemann Ltd (Verlag)
978-0-7506-6078-5 (ISBN)
CHF 265,35 inkl. MwSt
Serves as a reference to the aspects of fixed income markets and instruments. Useful for professionals and graduate students, this title features coverage of: Government and Corporate bonds, Eurobonds, callable bonds, convertibles; asset-backed bonds including mortgages and CDOs; derivative instruments; term structure models; and more.
The Bond and Money Markets is an invaluable reference to all aspects of fixed income markets and instruments. It is highly regarded as an introduction and an advanced text for professionals and graduate students.Features comprehensive coverage of: * Government and Corporate bonds, Eurobonds, callable bonds, convertibles * Asset-backed bonds including mortgages and CDOs * Derivative instruments including futures, swaps, options, structured products* Interest-rate risk, duration analysis, convexity, and the convexity bias * The money markets, repo markets, basis trading, and asset/liability management * Term structure models, estimating and interpreting the yield curve * Portfolio management and strategies,total return framework, constructing bond indices

Moorad Choudhry is Chief Executive Officer, Habib Bank Zurich PLC in London, and Visiting Professor at the Department of Mathematical Sciences, Brunel University. Previously he was Head of Treasury of the Corporate Banking Division, Royal Bank of Scotland. Prior to joining RBS, he was a bond trader and structured finance repo trader at KBC Financial Products, ABN Amro Hoare Govett Limited and Hambros Bank Limited. He has a PhD from Birkbeck, University of London and an MBA from Henley Business School. Moorad lives in Surrey, England.

Foreword; Preface; Introduction to bonds; Government bond markets; Corporate debt markets; The money markets; Risk management; Derivative instruments; Trading and hedging; Advanced fixed income analytics; Portfolio management; Technical analysis; Introduction to credit derivatives; Emerging markets; Concluding remarks.

Erscheint lt. Verlag 4.7.2003
Verlagsort Oxford
Sprache englisch
Maße 189 x 246 mm
Gewicht 2580 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-7506-6078-3 / 0750660783
ISBN-13 978-0-7506-6078-5 / 9780750660785
Zustand Neuware
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