Title : | Bond markets, analysis, : and strategies | Material Type: | printed text | Authors: | Fabozzi, Frank J., Author | Edition statement: | 8th ed. | Publication Date: | c2013 | Pagination: | 743 p. | Size: | 28 cm. | ISBN (or other code): | 978-0-273-76613-1 | Price: | Gift. | Languages : | English (eng) | Descriptors: | [LCSH]Bonds [LCSH]Bonds -- Handbooks, manuals, etc [LCSH]Portfolio management
| Keywords: | Bonds.
Investment analysis.
Portfolio management.
Bond market. | Class number: | HG4651 .F28 2013 | Contents note: | Introduction -- Pricing of bonds -- Measuring yield -- Bond price volatility -- Factors affecting bond yields and the term structure of interest rates -- Treasury and federal agency securities -- Corporate debt instruments -- Municipal securities -- International bonds -- Residential mortgage loans -- Agency mortgage pass-through securities -- Agency collateralized mortgage obligations and stripped mortgage-backed securities -- Nonagency residential mortgage-backed securities -- Commercial mortgage loans and commercial mortgage-backed securities -- Asset-backed securities -- Interest-rate models -- Analysis of bonds with embedded options -- Analysis of residential mortgage-backed securities -- Analysis of convertible bonds -- Corporate bond credit analysis -- Credit risk modeling -- Bond portfolio management strategies -- Bond portfolio construction -- Liability-driven strategies -- Bond performance measurement and evaluation -- Interest-rate futures contracts -- Interest-rate options -- Interest-rate swaps, caps, and floors -- Credit default swaps-- | Curricular : | BBA/GE/MBA | Record link: | http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23886 |
Bond markets, analysis, : and strategies [printed text] / Fabozzi, Frank J., Author . - 8th ed. . - c2013 . - 743 p. ; 28 cm. ISBN : 978-0-273-76613-1 : Gift. Languages : English ( eng) Descriptors: | [LCSH]Bonds [LCSH]Bonds -- Handbooks, manuals, etc [LCSH]Portfolio management
| Keywords: | Bonds.
Investment analysis.
Portfolio management.
Bond market. | Class number: | HG4651 .F28 2013 | Contents note: | Introduction -- Pricing of bonds -- Measuring yield -- Bond price volatility -- Factors affecting bond yields and the term structure of interest rates -- Treasury and federal agency securities -- Corporate debt instruments -- Municipal securities -- International bonds -- Residential mortgage loans -- Agency mortgage pass-through securities -- Agency collateralized mortgage obligations and stripped mortgage-backed securities -- Nonagency residential mortgage-backed securities -- Commercial mortgage loans and commercial mortgage-backed securities -- Asset-backed securities -- Interest-rate models -- Analysis of bonds with embedded options -- Analysis of residential mortgage-backed securities -- Analysis of convertible bonds -- Corporate bond credit analysis -- Credit risk modeling -- Bond portfolio management strategies -- Bond portfolio construction -- Liability-driven strategies -- Bond performance measurement and evaluation -- Interest-rate futures contracts -- Interest-rate options -- Interest-rate swaps, caps, and floors -- Credit default swaps-- | Curricular : | BBA/GE/MBA | Record link: | http://libsearch.siu.ac.th/siu/opac_css/index.php?lvl=notice_display&id=23886 |
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