Fixed Income Securities Valuation Risk Management and Portfolio Strategies
Fixed Income Securities Valuation Risk Management and Portfolio Strategies
Author: Martellini L
ISBN: 9780470852774
Edition: 1ST - 2003
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Overview
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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Product Info
Weight:
1.226 kgDepartment:
AcademicGroup:
Finance & AccountingCategory:
Print BooksAuthor:
Martellini LPublisher:
WILEYISBN:
9780470852774Edition:
1ST - 2003Estimated Shipping:
Temporary Out of Stock: Estimated shipping within 6 weeks
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