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Demystifying Fixed Income Analytics (A Practical Guide) - 9780367514792

List Price: $59.99
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9780367514792
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  • Product Details

    Author:
    Kedar Nath Mukherjee
    Format:
    Paperback
    Pages:
    490
    Publisher:
    Taylor & Francis (July 30, 2020)
    Language:
    English
    ISBN-13:
    9780367514792
    Weight:
    26.875oz
    Dimensions:
    6.125" x 9.1875"
    File:
    TAYLORFRANCIS-TayFran_260414043728988-20260414.xml
    Folder:
    TAYLORFRANCIS
    List Price:
    $59.99
    Case Pack:
    16
    As low as:
    $56.99
    Publisher Identifier:
    P-CRC
    Discount Code:
    H
    Audience:
    College/higher education
    Country of Origin:
    United States
    Pub Discount:
    30
    Imprint:
    Routledge India
  • Overview

    This book discusses important aspects of fixed income securities in emerging economies.

    Key features

    • Clarifies all conceptual and analytical aspects of fixed income securities and bonds, and covers important interest rate and credit derivative instruments in a simple and practical way.

    • Examines topics such as classifications of fixed income instruments; related risk-return measures; yield curve and term structure of interest rates; interest rate derivatives (forwards, futures and swaps), credit derivatives (credit default swaps); and trading strategies and risk management.

    • Provides step-by-step explanation of fixed income products by including real-life examples, scenarios and cases, especially in the context of emerging markets.

    • Presents consistent reference of actual market practices to make the chapters practice oriented while maintaining a lucid style complemented by adequate reading inputs and clear learning outcomes.

    • Includes complete solutions of numericals and cases for all chapters as an eResource on the Routledge website to aid understanding.

    The book will serve as a ready guide to both professionals from banking and finance industry (fixed income/bond dealers; fund/investment/portfolio managers; investment bankers; financial analysts/consultants; risk management specialists), and those in academics, including students, research scholars, and teachers in the fields of business management, banking, insurance, finance, financial economics, business economics, and risk management.