Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)
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Understanding fixed-income analytics is essential in today's dynamic financial environment.
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What Stands Out
Product Details
- Comprehensive introduction to key concepts of fixed income analytics
- Fully updated Second Edition reflecting current economic conditions
- Includes additional chapters on relative value analysis and value-at-risk measures
- Offers insights into value-at-risk, relative value measures, and convertible bond analysis
- Covers important analytical concepts used by portfolio managers
- Provides updated charts and descriptions using Bloomberg screens
| Publisher | Wiley |
| Publication date | October 12, 2010 |
| Edition | 2nd |
| Language | English |
| Print length | 496 pages |
| ISBN-10 | 9780470572139 |
| ISBN-13 | 978-0470572139 |
| Item Weight | 11.7 ounces (331.7 grams) |
| Dimensions | 6.24 x 1.31 x 9.24 inches (15.8 x 3.3 x 23.5 cm) |
Who Should Buy?
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Finance Students
Ideal for undergraduate and graduate students studying finance, particularly those focusing on fixed income securities and analytics.
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Investment Professionals
Beneficial for analysts and portfolio managers seeking to enhance their skills in fixed income valuation and risk measurement.
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Academics and Researchers
Useful resource for academics and researchers focusing on fixed income analytics and seeking comprehensive methodologies.
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Beginner Investors
Not suitable for novice investors lacking foundational knowledge of fixed income concepts and financial analytics.
Product Description
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)
Product Buying Guide
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures, and Valuation 2nd Edition provides a comprehensive introduction to the key concepts of fixed income analytics. Building on the success of the First Edition, this updated version reflects current economic conditions and includes additional chapters on relative value analysis, value-at-risk measures, and information on instruments like TIPS (treasury inflation-protected securities). Authored by Frank Fabozzi and Steven Mann, it offers insights into value-at-risk, relative value measures, convertible bond analysis, and more, making it an essential resource in today's dynamic financial environment.
Key Features
- Provides a thorough understanding of fixed income analytics
- Reflects current economic conditions
- Includes new chapters on relative value analysis and value-at-risk measures
- Uses Bloomberg screens for updated charts and descriptions
Usage Scenarios
- Ideal for portfolio managers, analysts, and professionals in the finance industry
- Great resource for students studying fixed income securities and financial analytics
Usage Scenarios
- Fixed Income Analysis by Barbara S. Petitt and Jerald E. Pinto
- The Handbook of Fixed Income Securities by Frank J. Fabozzi
Some User Review
- The book offers practical insights into fixed income analytics with easy-to-understand examples.
- The updated content and additional chapters provide a comprehensive understanding of the subject.
Competitors
- Competitively priced compared to similar books in the market
- Offers updated content and additional chapters at a reasonable price
Buying Considerations
- Reflects current economic conditions and provides insights into contemporary fixed income analytics
- Covers key concepts, value-at-risk measures, and relative value analysis in a detailed manner
Conclusion
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures, and Valuation 2nd Edition is a valuable resource for both financial professionals and students, offering comprehensive coverage, updated information, and practical insights into fixed income analytics.
View LessIntroduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures, and Valuation 2nd Edition provides a comprehensive introduction to the key concepts of fixed income analytics. Building on the success of the First Edition, this updated version reflects current economic conditions and includes additional chapters on relative value analysis, value-at-risk measures, and information on instruments like TIPS (treasury inflation-protected securities). Authored by Frank Fabozzi and Steven Mann, it offers insights into value-at-risk, relative value measures, convertible bond analysis, and more, making it an essential resource in today's dynamic financial environment. Continue Reading
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NZD 142
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Features & Benefits
- Comprehensive introduction to key concepts of fixed income analytics
- Covers important analytical concepts used by portfolio managers
- Includes updated charts and descriptions using Bloomberg screens
- Reflects current economic conditions
- Additional chapters on relative value analysis and value-at-risk measures
- Provides insights into convertible bond analysis and TIPS
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