Wiley Finance- Fixed Income Securities Tools for Today's Markets
Afbeeldingen
Artikel vergelijken
Uitgever: John Wiley & Sons Inc
- Engels
- Hardcover
- 9781119835554
- 29 augustus 2022
- 560 pagina's
Samenvatting
PRAISE FOR PRAISE FOR FIXED INCOME SECURITIES
“This eagerly awaited update of the classic fixed income textbook presents clear, well-organized analytics and a treasure trove of global institutional detail and historical context.”
—JENNIFER CARPENTER, Professor of Finance, NYU Stern School of Business
“Fixed Income Securities is the go-to textbook on the subject, and will remain so because of this comprehensive revision. Tuckman and Serrat make their world-leading knowledge accessible and lively. There is no substitute for this modern and expert blend of institutional knowledge, conceptual frameworks, and quantitative models.”
—DARRELL DUFFIE, The Adams Distinguished Professor of Management and Professor of Finance, Stanford Graduate School of Business
“This masterfully crafted book provides the perfect blend of intuition, foundational principles, insightful examples, and market insights. It provides a comprehensive introduction to every aspect of the fixed income markets in a way that makes it both a pleasure to read and an essential reference for anyone interested in learning about these securities. I strongly recommend this classic.”
—FRANCIS LONGSTAFF, Distinguished Professor of Finance, Allstate Chair in Insurance and Finance, UCLA Anderson School of Management
“This book stands out by its detailed description of instruments—without compromising on theory—and by the richness of the illustrations and applications sprinkled throughout the book. The authors’ credentials are clearly impeccable, both in training and experience at the cutting edge of fixed income markets. This is a must read for practitioners interested in understanding how these markets function.”
—RAVI K. MATTU, Global Head of Analytics, PIMCO
“This edition of Fixed Income Securities includes analysis of many new fixed income concepts and instruments, brought to life with excellent commentary and real-world examples. It is an essential guide for any practitioner trying to understand the significant evolution of the fixed income market over the past decade.”
—JEFFREY MELI, Head of Research, Barclays Investment Bank
“Fixed Income Securities covers everything from classical methods to original new research relevant to the theory and practice of fixed income trading and risk management. Examples are worked through including practical estimation techniques. This book will be extremely useful to new and seasoned professionals.”
—ANDREW MORTON, Global Head of Markets, Citi
"Fixed Income Securities is excellent, seamlessly combining theory and experience to make the global fixed-income markets come alive for students and practitioners. The fourth edition updates multiple examples and adds context to conceptual presentations. It is obvious that the authors not only understand and articulate theory with ease, but also enjoy its application to myriad simple and complicated instruments."
—MYRON SCHOLES, 1997 Nobel Laureate in Economic Sciences, Frank E. Buck Professor of Finance, Emeritus, Graduate School of Business, Stanford University
Build or brush up on the foundation you need to be a sophisticated fixed income professional with this proven book
Fixed Income Securities: Tools for Today’s Markets has been a valued resource for practitioners and students for over 25 years. Clearly written, and drawing on a myriad of real market examples, it presents an overview of fixed income markets; explains the conceptual frameworks and quantitative tool kits used in the industry for pricing and hedging; and examines a wide range of fixed income instruments and markets, including: government bonds; interest rate swaps; repurchase agreements; interest rate futures; note and bond futures; bond options and swaptions; corporate bonds; credit default swaps; and mortgages and mortgage-backed securities.
Appearing a decade after its predecessor, this long-awaited Fourth Edition is comprehensively revised with:
- An up-to-date overview, including monetary policy with abundant reserves and the increasing electronification of market
- All new examples, applications, and case studies, including lessons from market upheavals through the pandemic
- New material on fixed income asset management
- The global transition from LIBOR to SOFR and other rates
Productspecificaties
Inhoud
- Taal
- en
- Bindwijze
- Hardcover
- Oorspronkelijke releasedatum
- 29 augustus 2022
- Aantal pagina's
- 560
- Illustraties
- Nee
Betrokkenen
- Hoofdauteur
- Bruce Tuckman
- Tweede Auteur
- Angel Serrat
- Hoofduitgeverij
- John Wiley & Sons Inc
Overige kenmerken
- Editie
- 4
- Product breedte
- 163 mm
- Product hoogte
- 38 mm
- Product lengte
- 231 mm
- Studieboek
- Nee
- Verpakking breedte
- 154 mm
- Verpakking hoogte
- 32 mm
- Verpakking lengte
- 236 mm
- Verpakkingsgewicht
- 968 g
EAN
- EAN
- 9781119835554
Je vindt dit artikel in
- Taal
- Engels
- Boek, ebook of luisterboek?
- Boek
- Studieboek of algemeen
- Studieboeken
- Beschikbaarheid
- Leverbaar
Kies gewenste uitvoering
Prijsinformatie en bestellen
De prijs van dit product is 64 euro en 99 cent.- Prijs inclusief verzendkosten, verstuurd door bol
- Ophalen bij een bol afhaalpunt mogelijk
- 30 dagen bedenktijd en gratis retourneren
- Dag en nacht klantenservice
- Vandaag nog in huis (bestel ma-vr voor 12:00, bezorging tussen 17:00 en 22:00)
- Doordeweeks ook ’s avonds in huis
- Ook zondag in huis (bestel voor za 23:59)
Rapporteer dit artikel
Je wilt melding doen van illegale inhoud over dit artikel:
- Ik wil melding doen als klant
- Ik wil melding doen als autoriteit of trusted flagger
- Ik wil melding doen als partner
- Ik wil melding doen als merkhouder
Geen klant, autoriteit, trusted flagger, merkhouder of partner? Gebruik dan onderstaande link om melding te doen.