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The Sterling Bonds and Fixed Income Handbook aims to fill the knowledge gap for sterling-base investors and their advisors. Whilst;
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A comprehensive guide to the current theories and methodologies intrinsic to fixed-income securities Written by well-known experts from a;
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Fixed Income Securities and Derivatives Handbook: Analysis and Valuation, Second Edition The Second Edition of the Fixed Income;
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information they need to evaluate any fixed income security and build and manage a fixed income portfolio. The topics include: The time value of money;
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The definitive guide to fixed income securities-updated and revised with everything you need to succeed in today's market For nearly 40;
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topics such as the subtleties of fixed-income mathematics, new approaches to modeling term structures, and the applications of fixed-income;
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return attribution. The information and guidance of Advanced Fixed Income Analytics has a strong emphasis on empirical analysis and practical;
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investment industry's most complex and potentially risky investments. Fixed Income Mathematics is recognized worldwide as the essential professional;
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investment industry's most complex and potentially risky investments. Fixed Income Mathematics is recognized worldwide as the essential professional;
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myriad of real market examples, it presents an overview of fixed income markets; explains the conceptual frameworks and quantitative tool kits;
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Fixed income volatility and equity volatility evolve heterogeneously over time, co-moving disproportionately during periods of global;
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curves and the problem of assessing relative value; in part III, topics in fixed income portfolio management associated with change in the shape;
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demonstrates how international bonds interact with U.S. bonds and how their inclusion affects the risk/return characteristics of diversified fixed;
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In Bond Portfolio Management, Frank Fabozzi, the leading expert in fixed income securities, explains the latest strategies for maximizing;
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The fixed income markets in emerging countries represent a new and potentially lucrative area of investment for investors. But along with;
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of the features and investment characteristics of all fixed income sectors. In the Second Edition of Fixed Income Securities, Frank Fabozzi;
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in the fixed income securities market.;
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post-crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers;
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This comprehensive new book explains and clarifies the essential building blocks underlying the pricing and risk analysis of fixed-income;
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The fixed income and foreign exchange (FX) markets have never been as challenging to operate in as they are today. The post-crash;
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portfolios can help investors meet their investment goals and avoid the turbulence of today's markets. Managing a Family Fixed Income Portfolio fills;
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throughout. This is the first book I have seen to carefully cover such a wide set of topics in both theoretical and applied fixed-income modelling;
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management. * Provides step-by-step explanation of fixed income products by including real-life examples, scenarios and cases, especially in the;
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management. * Provides step-by-step explanation of fixed income products by including real-life examples, scenarios and cases, especially in the;
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Fixed Income Mathematics is an easy-to-understand introduction to the mathematics of common fixed income instruments. This book offers;
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. Fixed Income Relative Value Analysis provides an insightful presentation of the relevant statistical and financial theories, a detailed set;
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Pricing Money provides a highly practical introduction to the principles of bonds and fixed income and is aimed at readers who have little;
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