Fixed Income Trading and Risk Management
- The Complete Guide
indgår i The Wiley Finance Series serien
indgår i Wiley Finance serien
- Indbinding:
- Hardback
- Sideantal:
- 464
- Udgivet:
- 4. februar 2021
- Størrelse:
- 252x179x38 mm.
- Vægt:
- 974 g.
- 2-3 uger.
- 27. november 2024
På lager
Normalpris
Abonnementspris
- Rabat på køb af fysiske bøger
- 1 valgfrit digitalt ugeblad
- 20 timers lytning og læsning
- Adgang til 70.000+ titler
- Ingen binding
Abonnementet koster 75 kr./md.
Ingen binding og kan opsiges når som helst.
- 1 valgfrit digitalt ugeblad
- 20 timers lytning og læsning
- Adgang til 70.000+ titler
- Ingen binding
Abonnementet koster 75 kr./md.
Ingen binding og kan opsiges når som helst.
Beskrivelse af Fixed Income Trading and Risk Management
A unique, authoritative, and comprehensive treatment of fixed income markets
Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail.
The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You'll benefit from the book's:
* Fulsome overview of money, credit, and monetary policy
* Description of cash instruments, inflation-linked debt, and credit claims
* Analysis of derivative instruments, standard trading strategies, and data analysis
* In-depth focus on risk management in fixed income markets
Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.
Fixed Income Trading and Risk Management: The Complete Guide delivers a comprehensive and innovative exposition of fixed income markets. Written by European Central Bank portfolio manager Alexander During, this book takes a practical view of how several different national fixed income markets operate in detail.
The book presents common theoretical models but adds a lot of information on the actually observed behavior of real markets. You'll benefit from the book's:
* Fulsome overview of money, credit, and monetary policy
* Description of cash instruments, inflation-linked debt, and credit claims
* Analysis of derivative instruments, standard trading strategies, and data analysis
* In-depth focus on risk management in fixed income markets
Perfect for new and junior staff in financial institutions working in sales and trading, risk management, back office operations, and portfolio management positions, Fixed Income Trading and Risk Management also belongs on the bookshelves of research analysts and postgraduate students in finance, economics, or MBA programs.
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