Tuesday, March 24, 2015

Fee Download Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies

Fee Download Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies

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Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies

Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies


Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies


Fee Download Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies

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Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies

Review "This is the first book I have seen to carefully cover such a wide set of topics in both theoretical and applied fixed-income modelling, ranging from the use of market information to obtain yield curves, to the pricing and hedging of bonds and fixed-income derivatives, to the currently active topic of defaultable yield-curve modelling. It will be particularly useful to practitioners." - Darrell Duffie, Stanford University "This is the most comprehensive theoretical treatment of the subject I've ever seen." - Mark Rubinstein, Haas School of Business, University of California "An excellent review of interest rate models and of the pricing and hedging principles in the fixed-income area." - Oldrich Alfons Vasicek, KMV Corporation Read more From the Inside Flap Fixed-Income Securities is essential reading for those involved with and requiring a detailed understanding of fixed-income securities. Combining theory with an abundance of practical examples and illustrations, this book provides a comprehensive treatment of the subject. The first part of the book is devoted to the question of hedging and pricing certain cash-flows in the presence of interest rate risk. The level of mathematical sophistication involved for a good understanding of that material is relatively limited, and essentially includes basic notions of calculus and statistics. Hence, this first part should be accessible to those with no background in the theory of stochastic processes. The second part of the book is devoted to the question of hedging and pricing uncertain cash-flows, such as cash-flows generated by any fixed-income contingent claim, in the presence of interest rate risk. It involves more sophisticated mathematical tools, especially those borrowed from stochastic calculus, which are introduced in an Appendix. As such, this second part is more suited to students and professionals with exposure to, or at least appetite for, a more quantitative treatment of financial concepts. Read more See all Editorial ReviewsPaperback=662 pages. Publisher=Wiley; 1 edition (July 9, 2003). Language=English. ISBN-10=0470852771. ISBN-13=978-0470852774. Product Dimensions=7.5 x 1.4 x 9.7 inches. Shipping Weight=3.1 pounds (View shipping rates and policies). Average Customer Review=3.8 out of 5 stars 11 customer reviews. Amazon Best Sellers RankRisk ManagementBondsQuality Control=#194,118 in Books (See Top 100 in Books) .zg_hrsr { margin: 0; padding: 0; list-style-type: none; } .zg_hrsr_item { margin: 0 0 0 10px; } .zg_hrsr_rank { display: inline-block; width: 80px; text-align: right; } #39 in Books > Business & Money > Insurance > #60 in Books > Business & Money > Investing > #128 in Books > Business & Money > Management & Leadership > Quality Control & Management >.

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Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies PDF

Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies PDF

Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies PDF
Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies PDF

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