Kniha Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques Francesco Fabozzi

Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques

Jazyk: Angličtina
Vazba: Pevná
Dostupnost: Skladem u dodavatele v malém množství
Odesíláme za 11-15 dnů
1 805
The standard reference for fixed income portfolio managers—fully updated with new analytical framewo...

Informace o knize

Jazyk
Angličtina
Vazba
Kniha - Pevná
Vydáno
2022
Stránek
624
EAN
9781264258277
ISBN
1264258275
Enbook ID
38471448
Hmotnost
888
Rozměry
236 x 162 x 31

Kompletní popis

The standard reference for fixed income portfolio managers—fully updated with new analytical frameworks 

Fixed Income Mathematics is known around the world as the leading guide to understanding the concepts, valuation models for bonds with embedded option, mortgage-backed securities, asset-backed securities, and other fixed income instruments, and portfolio analytics.

Fixed Income Mathematics begins with basic concepts of the mathematics of finance, then systematically builds on them to reveal state-of-the-art methodologies for evaluating them and managing fixed-income portfolios. Concepts are illustrated with numerical examples and graphs, and you need only a basic knowledge of elementary algebra to understand them.

This new edition includes several entirely new chapters―Risk-Adjusted Returns, Empirical Duration, Analysis of Floating-Rate Securities, Holdings-Based Return Attribution Analysis, Returns-Based Style Attribution Analysis, Measuring Bond Liquidity, and Machine Learning―and provides substantially revised chapters on:

  • Interest rate modeling
  • Probability theory
  • Optimization models and applications to bond portfolio management
  • Historical return measures
  • Measuring historical return volatility

The concepts and methodologies for managing fixed income portfolios has improved dramatically over the past 15 years. This edition explains these changes and provides the knowledge you need to value fixed-income securities and measure the various types of risks associated with individual securities and portfolios.

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