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BOND MARKETS, ANALYSIS AND STRTEGIES FRANK J. FABOZZI

By: Publication details: PEARSON 2014 DELHIEdition: 8THDescription: 702 P. PAPERISBN:
  • 978-93-325-1828-5
Subject(s): DDC classification:
  • 332.6323
Contents:
Table of Content Chapter 1: Introduction Chapter 2: Pricing of Bonds Chapter 3: Measuring Yield Chapter 4: Bond Price Volatility Chapter 5: Factors Affecting Bond Yields and the Term Structure of Interest Rates Chapter 6: Treasury and Federal Agency Securities Chapter 7: Corporate Debt Instruments Chapter 8: Municipal Securities Chapter 9: International Bonds Chapter 10: Residential Mortgage Loans Chapter 11: Agency Mortgage Pass-Through Securities Chapter 12: Agency Collateralized Mortgage Obligations and Stripped Mortgage-Backed Securities Chapter 13: Nonagency Residential Mortgage-Backed Securities Chapter 14: Commercial Mortgage Loans and Commercial Mortgage-Backed Securities Chapter 15: Asset-Backed Securities Chapter 16: Interest Rate Models Chapter 17: Analysis of Bonds with Embedded Options Chapter 18: Analysis of Residential Mortgage-Backed Securities Chapter 19: Analysis of Convertible Bonds Chapter 20: Corporate Bond Credit Analysis Chapter 21: Credit Risk Modeling Chapter 22: Bond Portfolio Management Strategies Chapter 23: Bond Portfolio Construction Chapter 24: Liability-Driven Strategies Chapter 25: Bond Performance Measurement and Evaluation Chapter 26: Interest-Rate Futures Contracts Chapter 27: Interest Rate Options Chapter 28: Interest-Rate Swaps, Caps, and Floors Chapter 29: Credit Default Swaps
Summary: An applied approach to understanding bond markets. Through its applied approach, Fabozzi's Bond Markets prepares students to analyze the bond market and manage bond portfolios without getting bogged down in the theory. This edition has been streamlined and updated with new content, and features overall enhancements based on previous editions' reader and instructor feedback.
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Holdings
Item type Current library Collection Call number Status Date due Barcode Item holds
Book Book Main Library FINANCE (CUP 12/SH 1) 332.6323/ FAB/ 23834 (Browse shelf(Opens below)) Checked out to MAITHILI DHURI (1242) 21/10/2024 11123834
Total holds: 0
Browsing Main Library shelves, Collection: FINANCE (CUP 12/SH 1) Close shelf browser (Hides shelf browser)
332.632/Dun/888118 EQUITY RESEARCH AND VALUATION: 332.632042/ BRO/ 18566 TECHICAL ANALYSIS FOR THE TRADING PROFESSIONAL 332.6322/ Val/ 30098 Bulls and Bears: 332.6323/ FAB/ 23834 BOND MARKETS, ANALYSIS AND STRTEGIES 332.6323 /NYIF / 1929 HOW THE BOND MARKET WORKS: 332.6323 / NYIF / 2011 HOW THE BOND MARKET WORKS: 332.6328/ CNBC/ 19515 INVESTING IN COMMODITIES MADE EASY


Table of Content

Chapter 1: Introduction
Chapter 2: Pricing of Bonds
Chapter 3: Measuring Yield
Chapter 4: Bond Price Volatility
Chapter 5: Factors Affecting Bond Yields and the Term Structure of Interest Rates
Chapter 6: Treasury and Federal Agency Securities
Chapter 7: Corporate Debt Instruments
Chapter 8: Municipal Securities
Chapter 9: International Bonds
Chapter 10: Residential Mortgage Loans
Chapter 11: Agency Mortgage Pass-Through Securities
Chapter 12: Agency Collateralized Mortgage Obligations and Stripped Mortgage-Backed Securities
Chapter 13: Nonagency Residential Mortgage-Backed Securities
Chapter 14: Commercial Mortgage Loans and Commercial Mortgage-Backed Securities
Chapter 15: Asset-Backed Securities
Chapter 16: Interest Rate Models
Chapter 17: Analysis of Bonds with Embedded Options
Chapter 18: Analysis of Residential Mortgage-Backed Securities
Chapter 19: Analysis of Convertible Bonds
Chapter 20: Corporate Bond Credit Analysis
Chapter 21: Credit Risk Modeling
Chapter 22: Bond Portfolio Management Strategies
Chapter 23: Bond Portfolio Construction
Chapter 24: Liability-Driven Strategies
Chapter 25: Bond Performance Measurement and Evaluation
Chapter 26: Interest-Rate Futures Contracts
Chapter 27: Interest Rate Options
Chapter 28: Interest-Rate Swaps, Caps, and Floors
Chapter 29: Credit Default Swaps

An applied approach to understanding bond markets.

Through its applied approach, Fabozzi's Bond Markets prepares students to analyze the bond market and manage bond portfolios without getting bogged down in the theory.

This edition has been streamlined and updated with new content, and features overall enhancements based on previous editions' reader and instructor feedback.

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