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Fixed income analysis for the Chartered Financial Analyst Program / Frank J. Fabozzi.

By: Material type: TextTextLanguage: English Publication details: New Hope : Frank J. Fabozzi Associates, 2004.Edition: Second editionDescription: xiv, 626 páginas : tablas, gráficas ; 26 cmContent type:
  • Texto
Media type:
  • Sin mediación
Carrier type:
  • Volumen
ISBN:
  • 1931609047
Subject(s): DDC classification:
  • 332.632 F11f1 21
Other classification:
  • K22
Contents:
Level I. Chapter 1. Features of debt securities ; Chapter 2. Risks associated with investing in bonds ; Chapter 3. Overview of bond sectors and instruments ; Chapter 4. Understanding yield spreads ; Chapter 5. Introduction to the valuation of debt securities ; Chapter 6. Yield measures, spot rates, and forward rates ; Chapter 7. Introduction to the measurement of interest rate risk -- Level II. Chapter 8. Term structure and volatility of interest rates ; Chapter 9. valuing with embedded options ; Chapter 10. Mortgage-backed sector of the bond market ; Chapter 11. Asset-backed sector of the bond market ; Chapter 12. Valuing mortgage-backed and asset-backed securities ; Chapter 13. Interest rate derivative instruments ; Chapter 14. Valuation of interest rate derivative instruments ; Chapter 15. General principles of credit analysis.
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Holdings
Item type Home library Call number Status Notes Date due Barcode Item holds
LIBRO FISICO Biblioteca Principal 332.632 F11f1 (Browse shelf(Opens below)) Available Mantener en colección. 29004018975143
Total holds: 0

Incluye índice.

Level I. Chapter 1. Features of debt securities ; Chapter 2. Risks associated with investing in bonds ; Chapter 3. Overview of bond sectors and instruments ; Chapter 4. Understanding yield spreads ; Chapter 5. Introduction to the valuation of debt securities ; Chapter 6. Yield measures, spot rates, and forward rates ; Chapter 7. Introduction to the measurement of interest rate risk -- Level II. Chapter 8. Term structure and volatility of interest rates ; Chapter 9. valuing with embedded options ; Chapter 10. Mortgage-backed sector of the bond market ; Chapter 11. Asset-backed sector of the bond market ; Chapter 12. Valuing mortgage-backed and asset-backed securities ; Chapter 13. Interest rate derivative instruments ; Chapter 14. Valuation of interest rate derivative instruments ; Chapter 15. General principles of credit analysis.

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