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Bond Markets, Analysis, and Strategies (7th Edition)读书介绍

类别 页数 译者 网友评分 年代 出版社
书籍 792页 7.7 2020 Prentice Hall
定价 出版日期 最近访问 访问指数
USD 194.00 2020-02-20 … 2020-12-09 … 70
主题/类型/题材/标签
金融,教材,投资,科普,Markets,BOND,
作者
Frank J. Fabozzi      ISBN:9780136078975    原作名/别名:《》
内容和作者简介
Bond Markets, Analysis, and Strategies (7th Edition)摘要

Learn how to assess and invest in bonds with this best-selling text. Fabozzi's Bond Markets is the most applied book on the market. It prepares students to analyze the bond market and manage bond portfolios without getting bogged down in the theory. The author's extensive experience in the field is reflected in this uniquely applied approach. This seventh edition has been painstakingly updated. The author conducted numerous conversations and discussions with analysts and portfolio managers to make sure that this text reflects the field today.

Pricing of Bonds; Measuring Yield; Bond Price Volatility; Factors Affecting Bond Yields and the Term Structure of Interest Rates; Treasury and Agency Securities; Corporate Debt Instruments; Municipal Securities; Non-U.S. Bonds; Residential Mortgage Loans; Agency Mortgage Pass-through Securities; Agency Collateralized Mortgage Obligations and Stripped Mortgage-Backed Securities; Prime and Subprime Mortgage-Backed Securities; Commercial Loans and Commercial Mortgage-Backed Securities; Asset-Backed Securities; Cash Collateralized Debt Obligations; Interest Rate Models; Analysis of Bonds with Embedded Options; Analysis of Mortgage-Backed Securities; Analysis of Convertible Bonds; Corporate Bond Credit Analysis; Credit Risk Modeling; Active Bond Portfolio Management Strategies; Indexing; Liability Driven Strategies; Bond Performance Measurement and Evaluation; Interest Rate Futures; Interest Rate Options; Interest-Rate Swaps, Caps, and Floors; Credit Derivatives and Synthetic CDOs

The latest edition of Fabozzi’s Bond Markets helps make sense of bond markets and mortgage financing. The 2008 financial crisis is explained as part of the newly added chapter on prime and subprime loans.

作者简介

弗兰克·J.法博兹(Frank J.Fabozzi)是耶鲁大学管理学院金融学副教授,主要研究方向为投资管理和结构性融资。他还是BlackRock基金集团和Guardian基金集团的董事、注册金融分析师,并担任多个金融机构顾问,从事投资组合结构、风险控制和评估的咨询工作,此外,还担任《投资组合管理杂志》的编辑。他已出版了多部影响颇广的金融学著作。鉴于法博兹博士在固定收益证券和投资组合分析方面的突出成就,2002年11月他被选入成立于1995年的“固定收益分析师名人堂”。

本书后续版本
未发行或暂未收录
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