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Fixed Income Securities - Valuation, Risk Management & Portfolio Strategies

Language EnglishEnglish
Book Paperback
Book Fixed Income Securities - Valuation, Risk Management & Portfolio Strategies Lionel Martellini
Libristo code: 01329396
Publishers John Wiley & Sons Inc, May 2003
This textbook will be designed for fixed--income securities courses taught on MSc Finance and MBA co... Full description
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This textbook will be designed for fixed--income securities courses taught on MSc Finance and MBA courses. There is currently no suitable text that offers a a Hull--typea book for the fixed income student market. This book aims to fill this need. The book will contain numerous worked examples, excel spreadsheets, with a building block approach throughout. A key feature of the book will be coverage of both traditional and alternative investment strategies in the fixed--income market, for example, the book will cover the modern strategies used by fixed--income hedge funds.* The text will be supported by a set of PowerPoint slides for use by the lecturer* First textbook designed for students written on fixed--income securities -- a growing market* Contains numerous worked examples throughout* Includes coverage of important topics often omitted in other books i.e. deriving the zero yield curve, deriving credit spreads, hedging and also covers interest rate and credit derivatives

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About the book

Full name Fixed Income Securities - Valuation, Risk Management & Portfolio Strategies
Language English
Binding Book - Paperback
Date of issue 2003
Number of pages 662
EAN 9780470852774
ISBN 0470852771
Libristo code 01329396
Weight 1266
Dimensions 189 x 245 x 36
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