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Fixed Income Markets : Management, Trading and Hedging (Second edition)

Part of the Wiley Finance Series series
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A comprehensive, in-depth look at global debt capital markets in the post-crisis world Fully updated with comprehensive coverage of the post-crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers insights into derivative pricing, cross-currency hedging, and new liquidity legislation.

Written by Choudhry, Moskovic, and Wong, Fixed Income Markets is an indispensable read for anyone working in bond markets, interest-rate markets, and credit derivatives markets looking to better understand today's debt markets. This acclaimed book takes a unique look into the leading practices in bond markets as well as post-credit-crunch impacts on pricing that are rarely captured in textbooks.

The new edition provides expanded coverage on a wide range of topics within hedging, derivatives, bonds, rebalancing, and global debt capital markets.

New topics include: Dynamic hedging practices and cross-currency hedgingCollateralized and uncollateralized derivatives, and their impact on valuationCallable bonds, pricing, trading, and regulatory aspects related to liquidityRebalancing as a method for capturing contingencies and other complex imbedded risks As a bonus, the book includes reference information for statistical concepts and fixed income pricing, as well as a full glossary and index.

Written in Choudhry's usual accessible style, Fixed Income Markets is a comprehensive and in-depth account of the global debt capital markets in today's post-crisis world.

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Product Details
John Wiley & Sons Inc
1118171721 / 9781118171721
Hardback
12/09/2014
United States
English
704 pages.