• Kapcsolat

  • Hírlevél

  • Rólunk

  • Szállítási lehetőségek

  • Prospero könyvpiaci podcast

  • Hírek

  • Debt Markets and Investments
      • 10% KEDVEZMÉNY?

      • A kedvezmény csak az 'Értesítés a kedvenc témákról' hírlevelünk címzettjeinek rendeléseire érvényes.
      • Kiadói listaár GBP 152.50
      • Az ár azért becsült, mert a rendelés pillanatában nem lehet pontosan tudni, hogy a beérkezéskor milyen lesz a forint árfolyama az adott termék eredeti devizájához képest. Ha a forint romlana, kissé többet, ha javulna, kissé kevesebbet kell majd fizetnie.

        72 856 Ft (69 387 Ft + 5% áfa)
      • Kedvezmény(ek) 10% (cc. 7 286 Ft off)
      • Kedvezményes ár 65 571 Ft (62 448 Ft + 5% áfa)

    72 856 Ft

    db

    Beszerezhetőség

    Megrendelésre a kiadó utánnyomja a könyvet. Rendelhető, de a szokásosnál kicsit lassabban érkezik meg.

    Why don't you give exact delivery time?

    A beszerzés időigényét az eddigi tapasztalatokra alapozva adjuk meg. Azért becsült, mert a terméket külföldről hozzuk be, így a kiadó kiszolgálásának pillanatnyi gyorsaságától is függ. A megadottnál gyorsabb és lassabb szállítás is elképzelhető, de mindent megteszünk, hogy Ön a lehető leghamarabb jusson hozzá a termékhez.

    A termék adatai:

    • Kiadó OUP USA
    • Megjelenés dátuma 2019. október 16.

    • ISBN 9780190877439
    • Kötéstípus Keménykötés
    • Terjedelem832 oldal
    • Méret 165x239x55 mm
    • Súly 1315 g
    • Nyelv angol
    • 4

    Kategóriák

    Rövid leírás:

    This book examines the dynamic world of debt markets, products, valuation, and analysis. It also provides an in-depth understanding about this subject from experts in the field, both practitioners and academics. This volume spans the gamut from theoretical to practical and offers a useful balance of detailed and user-friendly coverage.

    Több

    Hosszú leírás:

    Debt Markets and Investments provides an overview of the dynamic world of markets, products, valuation, and analysis of fixed income and related securities. Experts in the field, practitioners and academics, offer both diverse and in-depth insights into basic concepts and their application to increasingly intricate and real-world situations. This volume spans the entire spectrum from theoretical to practical, while attempting to offer a useful balance of detailed and user-friendly coverage.

    The volume begins with the basics of debt markets and investments, including basic bond terminology and market sectors. Among the topics covered are the relationship between fixed income and other asset classes as well as the differences in fundamental risk. Particular emphasis is given to interest rate risk as well as credit risks as well as those associated with inflation, liquidity, reinvestment, and ESG. Authors then turn to market sectors, including government debt, municipal bonds, the markets for corporate bonds, and developments in securitized debt markets along with derivatives and private debt markets. The third section focuses on models of yield curves, interest rates, and swaps, including opportunities for arbitrage. The next two sections focus on bond and securitized products, from sovereign debt and mutual funds focused on bonds to how securitization has increased liquidity through such innovations as mortgaged-and asset- backed securities, as well as collateralized debt-, bond-, and loan obligations. Authors next discuss various methods of valuation of bonds and securities, including the use of options and derivatives. The volume concludes with discussions of how debt can play a role in financial strategies and portfolio creation.

    Readers interested in a broad survey will benefit as will those looking for more in-depth presentations of specific areas within this field of study. In summary, the book provides a fresh look at this intriguing and dynamic but often complex subject.

    For scholars, teachers, students, and investors, Debt Markets and Investments is a comprehensive yet accessible guide to all types of debt securities and the markets in which they trade. I'm already revising lecture notes for my MBA-level investments course to reflect insights from this volume.

    Több

    Tartalomjegyzék:

    Table of Contents
    Chapter 1: Debt Markets and Investments: An Overview
    H. Kent Baker, Greg Filbeck, Andrew C. Spieler
    Chapter 2: Debt Fundamentals and Indices
    Ryan J. Dodge, Steven T. Petra, Andrew C. Spieler
    Chapter 3: Interest Rate Risk, Measurement, and Management
    Tom Barkley
    Chapter 4: Other Risks Associated with Debt Securities
    Randolph D. Nordby
    Chapter 5: Government Debt
    Keith Pareti, Rob Kennedy
    Chapter 6: Municipal Bonds
    Xiaohu Deng, Christopher Goebert, Gershon Morgulis, Isaac Yates
    Chapter 7: Corporate Bond Markets
    Kelly E. Carter
    Chapter 8: Securitized Debt Markets
    Senay Agca, Saiyid S. Islam
    Chapter 9: Derivatives Markets
    Halil Kiymaz, Koray D. Simsek
    Chapter 10: Short-Term Funding and Financing Alternatives
    Benjamin Aguilar, Alit Jain, Kevin Neaves
    Chapter 11: Private Debt Markets
    Douglas Cumming, Grant Fleming, Zhangxin (Frank) Liu
    Chapter 12: Yield Curves, Swap Curves, and Term Structure of Interest Rates
    Tom P. Davis, Dmitri Mossessian
    Chapter 13: Models of the Yield Curve and Term Structure
    Tom P. Davis, Dmitri Mossessian
    Chapter 14: International Bonds
    Soutonnoma Ouedraogo, David Scofield, Garrett C. Smith
    Chapter 15: Floating Rate Notes
    Aby Abraham, John Casares, Jibran Ali Shah
    Chapter 16: Bonds with Embedded Options
    Christopher J. Barnes, Gaurav Gupta, Joseph F. Abinanti
    Chapter 17: Bond Mutual Funds, Closed-end Bond Funds, and Exchange-Traded Funds
    Halil Kiymaz, Koray D. Simsek
    Chapter 18: Other Bond Products: Social Impact Bonds, Death Bonds, Catastrophe Bonds, Green Bonds, and Covered Bonds
    Erik Devos, Robert Karpowicz, Andrew C. Spieler
    Chapter 19: Inflation-Linked Bonds
    John Lettieri, Gerald O'Donnell, Seow-eng Ong, Desmond Tsang
    Chapter 20: Securitization Process
    Mark Ferguson, Joseph McBride, Kevin Tripp
    Chapter 21: Mortgage-Backed Securities
    Mingwei Liang, Milena Petrova
    Chapter 22: Asset-Backed Securities
    Massimo Guidolin, Manuela Pedio
    Chapter 23: Collateralized Debt Obligations, Collateralized Bond Obligations, and Collateralized Loan Obligations
    Robert Eckrote, Christopher Milliken, Eshan Nikbakht, Andrew C. Spieler
    Chapter 24: Factors Affecting Bond Pricing and Valuation
    Mark Wu, Xiang Gao, Bob Wieczorek
    Chapter 25: Valuing and Analyzing Bond with Embedded Options
    Yiying Cheng
    Chapter 26: Valuing and Analyzing Mortgage-Backed and Asset-Backed Securities
    Matthew Dyer
    Chapter 27: Valuing and Analyzing Fixed Income Derivatives
    Koray D. Simsek, Halil Kiymaz
    Chapter 28: Credit Analysis and Ratings
    Peter Dadalt, Michael Gueli, Rafay Khalid, Ling Zhang
    Chapter 29: Bond Auctions
    Mark Wu, Patrick Herb, Shishir Paudel
    Chapter 30: Bond Accounting
    Oluwa Seyi Adebayo Awoga
    Chapter 31: High Yield Bonds:
    Byron C. Barnes, Tony Calenda, Elvis Rodriguez
    Chapter 32: Distressed Debt
    Seoyoung Kim
    Chapter 33: Microstructure of Fixed Income Trading
    Matthew John Jerabeck, Marc Perkins, David Petruzzellis
    Chapter 34: Debt Investment Strategies
    Steven Cosares, Taylor Riggs, Andrew C. Spieler
    Chapter 35: Debt Portfolio Management
    Zachary Jersky, He Li
    Chapter 36: Debt Trends and Future Outlook
    Dianna Preece

    Több
    0