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Frank J. Fabozzi

    1. Januar 1948

    Frank J. Fabozzi ist ein renommierter Autor zahlreicher Finanzpublikationen, die sich sowohl an Praktiker als auch an Akademiker richten. Seine Arbeiten zeichnen sich durch ein tiefes Verständnis der Finanzmärkte und Anlagestrategien aus. Fabozzis Ansatz kombiniert theoretisches Wissen geschickt mit praktischen Anwendungen und ermöglicht es den Lesern, komplexe Finanzkonzepte klarer zu verstehen. Seine umfassende Expertise festigt seine Position als Schlüsselfigur in der Finanzliteratur.

    Bond Portfolio Management
    Bond markets, analysis, and strategies
    Fixed Income Mathematics. Analytical and Statistical Techniques
    Handbook of Inflation Indexed Bonds
    Foundations of Financial Markets and Institutions
    The Handbook of Fixed Income Securities
    • 2015

      Capital Markets

      Institutions, Instruments, and Risk Management - Fifth Edition

      • 1088 Seiten
      • 39 Lesestunden

      Focusing on the evolution of financial instruments, this revised fifth edition emphasizes risk management and regulatory reform in the wake of recent financial crises. It explores the extensive array of financing, investing, and risk control tools that have emerged over the past fifty years, addressing the lessons learned from past market failures. The text includes updated chapters and new content that reflects the latest developments in financial markets, making it a comprehensive resource for understanding contemporary financial products and strategies.

      Capital Markets
    • 2006

      The standard reference for fixed income portfolio managers Despite their conservative nature, fixed income instruments are among the investment industry's most complex and potentially risky investments. Fixed Income Mathematics is recognized worldwide as the essential professional reference for understanding the concepts and evaluative methodologies for bonds, mortgage-backed securities, asset-backed securities, and other fixed income instruments. This fully revised and updated fourth edition features all-new illustrations of the future and present value of money, with appendices on continuous compounding and new sections and chapters addressing risk measures, cash flow characteristics of credit-sensitive mortgage-backed and asset-backed securities, and more.

      Fixed Income Mathematics. Analytical and Statistical Techniques
    • 2006
      3,6(15)Abgeben

      Target Market: Fixed Income Securities Courses or Bond Markets Courses Fabozzi's, Bond Markets, prepares students to analyze the bond market and use the tools for managing bond portfolios. Many texts on the market are far too theoretical, Fabozzi is quite the opposite. This text covers Bonds, analytical techniques for valuing bonds and quantifying their exposure to changes in interest rates, and portfolio strategies for achieving a client's objectives.

      Bond markets, analysis, and strategies
    • 2004

      The first comprehensive account of the European structured financial products marketThis comprehensive survey of the securitization market in Europe covers all asset-backed securities (the major classes and some nonconventional asset classes that have been securitized), residential and commercial mortgage-backed securities, collateralized debt obligations, and more.Frank J. Fabozzi, PhD, CFA, CPA (New Hope, PA), is the Frederick Frank Adjunct Professor of Finance in the School of Management at Yale University. Prior to joining the Yale faculty, he was a Visiting Professor of Finance in the Sloan School at MIT. Moorad Choudhry (Surrey, UK) is a Vice President in Structured Finance Services with JPMorgan Chase Bank.

      The Frank J. Fabozzi Series: The Handbook of European Structured Financial Products
    • 2000

      For professionals who need an immediate understanding and overview of the world of finance -- from basics to managing capital -- this thorough guide introduces the concepts, tools, and applications of finance. Clear, concise language helps readers understand financial decision making, while post-chapter questions ensure full comprehension.

      Fixed Income Readings for the Chartered Financial Analyst Program
    • 1999

      Handbook of Inflation Indexed Bonds

      • 306 Seiten
      • 11 Lesestunden
      4,0(3)Abgeben

      Handbook of Inflation Indexed Bonds provides complete coverage of inflation protection bonds beginning with their first U.S. issuance in 1997. Five, in-depth sections strategic asset allocation; mechanics, valuation, and risk monitoring; global environment; issuers; and investors.

      Handbook of Inflation Indexed Bonds
    • 1996

      Bond Portfolio Management

      • 523 Seiten
      • 19 Lesestunden

      This text explains the latest strategies for maximixing bond portfolio returns, discussing different types of bonds, valuation principles and a range of strategies. It reveals the investment objectives of institutional investors, and shows how to assess investment performance.

      Bond Portfolio Management
    • 1994

      Explores developments, such as innovation, globalization and deregulation, occurring in the world's financial markets. This study focuses on the practices of financial institutions, investors and instruments. It includes coverage of strategies for risk control in volatile financial environments.

      Foundations of Financial Markets and Institutions