The management of bond investments and trading of debt
Written for managers and professionals in business and industry, and using a minimum of mathematical language, The Management of Bond Investments and the Trading of Debt addresses three key issues: Bondholders options, risks and rewards in making investments in debt instruments; The dynamics of infl...
Κύριος συγγραφέας: | Χωραφάς, Δημήτρης Ν. |
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Μορφή: | Ηλεκτρονική πηγή |
Γλώσσα: | English |
Στοιχεία έκδοσης: |
Oxford :
Elsevier Butterworth-Heinemann,
2005.
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Θέματα: | |
Διαθέσιμο Online: |
http://www.sciencedirect.com/science/book/9780750667265 |
Ετικέτες: |
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Πίνακας περιεχομένων:
- Part One: The Dynamics Of Debt, Leverage, And Globalization
- Ch 1: Democratization Of Lending And Socialization Of Risk
- Ch 2: Trading Debt In A Globalized Economy
- Part Two: The Bondholders Options, Risks And Rewards
- Ch 3: Bonds Defined
- Ch 4: Convertible Bonds, Zero Bonds, Junk Bonds, Strips, And Other Bonds
- Ch 5: Choosing Bonds
- Ch 6: Bank Loans And Securitization;
- Part Three: Interest Rates, Yields, And Duration
- Ch 7: The Dynamics Of Interest Rates
- Ch 8: Inflation Indexing And Impact Of Government Deficits
- Ch 9: Bond Yields and Benchmark Government Bonds
- Ch 10: Maturity And Duration
- Part Four: Bonds, Bond Markets, Credit Rating And Risk Control:
- Ch 11: Bonds, Money Markets, Capital Markets, And Financial Organizations
- Ch 12: Credit Quality And Independent Rating Agencies
- Ch 13: Case Studies On Credit Quality
- Ch 14: Market Risk With Bonds
- Ch 15: The Control Of Risk Under Basel II.