Introduction to fixed income analytics
relative value analysis, risk measures, and valuation
2nd ed.
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Author
Contributions
- Mann, Steven V. - Contributor
Publication
2010 - Wiley, Hoboken, N.J, New Jersey
Language
English
Word Count
0 words, Guess
Page Count
0 pages
Identifiers
- ISBN-139780470572139
- ISBN-100470572132
- Library of Congress Control Number2010026721
- OCLC Control Number645673591
- OCLC Control Number794059541
and 3 more
- Better World Books9780470572139
- Better World BooksP8-COF-855
- Open LibraryOL24438555M
Classifications
- DDC332.63/2
- LCCHG4650 .F335 2010
- LCCHG4650
Description
"A comprehensive introduction to the key concepts of fixed income analytics The First Edition of Introduction to Fixed Income Analytics skillfully covered the fundamentals of this discipline and was the first book to feature Bloomberg screens in examples and illustrations. Since publication over eight years ago, the markets have experienced cathartic change. That's why authors Frank Fabozzi and Steven Mann have returned with a fully updated Second Edition. This reliable resource reflects current economic conditions, and offers additional chapters on relative value analysis, value-at-risk measures and information on instruments like TIPS (treasury inflation protected securities). Offers insights into value-at-risk, relative value measures, convertible bond analysis, and much more Includes updated charts and descriptions using Bloomberg screens Covers important analytical concepts used by portfolio managers Understanding fixed-income analytics is essential in today's dynamic financial environment. The Second Edition of Introduction to Fixed Income Analytics will help you build a solid foundation in this field."--
Series Statement
- Frank J. Fabozzi series -- 191
Links
Other Editions
- Introduction to fixed income analytics: relative value analysis, risk measures, and valuation
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