Fixed Income Finance: A Quantitative Approach

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9780071621205: Fixed Income Finance: A Quantitative Approach

A complete guide forprofessionals with advancedmathematical skills but little orno financial knowledge . . .

You’re smart. Logical. Mathematicallyadept. One of those people who canmake quick work of long, difficult equations.But when it comes to managing a financialportfolio and managing risk, you wonder ifyou’re missing out.

Fixed Income Finance is the book for you.It’s the perfect introduction to the concepts,formulas, applications, and methodology,all derived from first principles, that youneed to succeed in the world of quantitativefinance—with a special emphasis on fixedincomes. Written by two of the sharpest analyticalminds in their fields, this instructiveguide takes you through the basics of fixedincome finance, including many new andoriginal results, to help you understand:

  • Treasury Bonds and the Yield Curve
  • The Macroeconomics behind TermStructure Models
  • Structural Models for CorporateBonds and Portfolio Diversification
  • Options
  • Fixed Income Derivatives
  • Numerical Techniques

Filled with step-by-step equations, clearand concise concepts, and ready-to-useformulas, this essential workbook bridges thegap between basic beginners’ primers andmore advanced surveys to provide hands-on tools you can begin to use immediately. It’s allyou need to put your math skills to work—and make the money work for you.

Brilliantly researched, impeccably detailed,and thoroughly comprehensive, Fixed IncomeFinance is applied mathematics at its best andmost useful.

Le informazioni nella sezione "Riassunto" possono far riferimento a edizioni diverse di questo titolo.

About the Author:

Mark Wise is the John A. McConeProfessor of High Energy Physics at theCalifornia Institute of Technology. He is thewinner of the 2001 J.J. Sakurai Prize of theAmerican Physical Society and a member ofthe American Academy of Arts and Sciencesand National Academy of Sciences. He is alsothe coauthor of Heavy Quark Physics.
Vineer Bhansali is an executive vicepresident, portfolio manager, firm-wide headof analytics for portfolio management, and asenior member of PIMCO’s portfolio managementteam. He is the author of Pricingand Managing Exotic and Hybrid Options andcurrently serves as an associate editor forthe International Journal of Theoretical andApplied Finance.

Dalla quarta di copertina:

If you have a talent for math, you've got a head start on building wealth . . .

A hands-on user’s guide to the world of quantitative finance, this much-neededbook shows you how to apply your advanced mathematical skills to a vast arrayof financial opportunities available to those investing in fixed income. Written by twoanalytical experts, Fixed Income Finance shows you how to:

  • Obtain a deep understanding of the risks and rewards of bonds
  • Use tools of modern fixed income finance to creatively solve new problems
  • Value bonds and their derivatives using rigorous foundations
  • Properly manage the risk-reward tradeoffs in bond portfolios
  • Build a toolkit that you can apply to other practical problems

Filled with step-by-step derivations, many of them original and detailed calculations,and other applied mathematics not easily found in existing literature, Fixed IncomeFinance helps you manage the ups and downs, ins and outs, of quantitative finance—quickly, easily, and profitably.

Le informazioni nella sezione "Su questo libro" possono far riferimento a edizioni diverse di questo titolo.

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Wise, Mark; Bhansali, Vineer
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ISBN 10: 0071621202 ISBN 13: 9780071621205
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Descrizione libro Condizione libro: New. Brand new book, sourced directly from publisher. Dispatch time is 24-48 hours from our warehouse. Book will be sent in robust, secure packaging to ensure it reaches you securely. Codice libro della libreria NU-ING-00418498

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Descrizione libro McGraw-Hill, 2009. Hardcover. Condizione libro: New. 1. Codice libro della libreria DADAX0071621202

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Descrizione libro McGraw-Hill Education - Europe, United States, 2010. Hardback. Condizione libro: New. 226 x 157 mm. Language: English . Brand New Book ***** Print on Demand *****.A complete guide forprofessionals with advancedmathematical skills but little orno financial knowledge .You re smart. Logical. Mathematicallyadept. One of those people who canmake quick work of long, difficult equations.But when it comes to managing a financialportfolio and managing risk, you wonder ifyou re missing out. Fixed Income Finance is the book for you.It s the perfect introduction to the concepts,formulas, applications, and methodology,all derived from first principles, that youneed to succeed in the world of quantitativefinance-with a special emphasis on fixedincomes. Written by two of the sharpest analyticalminds in their fields, this instructiveguide takes you through the basics of fixedincome finance, including many new andoriginal results, to help you understand: Treasury Bonds and the Yield Curve The Macroeconomics behind TermStructure Models Structural Models for CorporateBonds and Portfolio Diversification Options Fixed Income Derivatives Numerical Techniques Filled with step-by-step equations, clearand concise concepts, and ready-to-useformulas, this essential workbook bridges thegap between basic beginners primers andmore advanced surveys to provide hands-on tools you can begin to use immediately. It s allyou need to put your math skills to work-and make the money work for you. Brilliantly researched, impeccably detailed,and thoroughly comprehensive, Fixed IncomeFinance is applied mathematics at its best andmost useful. Codice libro della libreria APC9780071621205

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Wise, Mark; Bhansali, Vineer
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ISBN 10: 0071621202 ISBN 13: 9780071621205
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Descrizione libro McGraw-Hill Education - Europe, United States, 2010. Hardback. Condizione libro: New. 226 x 157 mm. Language: English . Brand New Book ***** Print on Demand *****. A complete guide forprofessionals with advancedmathematical skills but little orno financial knowledge .You re smart. Logical. Mathematicallyadept. One of those people who canmake quick work of long, difficult equations.But when it comes to managing a financialportfolio and managing risk, you wonder ifyou re missing out. Fixed Income Finance is the book for you.It s the perfect introduction to the concepts,formulas, applications, and methodology,all derived from first principles, that youneed to succeed in the world of quantitativefinance-with a special emphasis on fixedincomes. Written by two of the sharpest analyticalminds in their fields, this instructiveguide takes you through the basics of fixedincome finance, including many new andoriginal results, to help you understand: Treasury Bonds and the Yield Curve The Macroeconomics behind TermStructure Models Structural Models for CorporateBonds and Portfolio Diversification Options Fixed Income Derivatives Numerical Techniques Filled with step-by-step equations, clearand concise concepts, and ready-to-useformulas, this essential workbook bridges thegap between basic beginners primers andmore advanced surveys to provide hands-on tools you can begin to use immediately. It s allyou need to put your math skills to work-and make the money work for you. Brilliantly researched, impeccably detailed,and thoroughly comprehensive, Fixed IncomeFinance is applied mathematics at its best andmost useful. Codice libro della libreria APC9780071621205

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Descrizione libro McGraw-Hill. Hardcover. Condizione libro: New. Hardcover. 256 pages. Dimensions: 8.9in. x 6.2in. x 1.0in.A complete guide for professionals with advanced mathematical skills but little or no financial knowledge . . . Youre smart. Logical. Mathematically adept. One of those people who can make quick work of long, difficult equations. But when it comes to managing a financial portfolio and managing risk, you wonder if youre missing out. Fixed Income Finance is the book for you. Its the perfect introduction to the concepts, formulas, applications, and methodology, all derived from first principles, that you need to succeed in the world of quantitative financewith a special emphasis on fixed incomes. Written by two of the sharpest analytical minds in their fields, this instructive guide takes you through the basics of fixed income finance, including many new and original results, to help you understand: Treasury Bonds and the Yield Curve The Macroeconomics behind Term Structure Models Structural Models for Corporate Bonds and Portfolio Diversification Options Fixed Income Derivatives Numerical Techniques Filled with step-by-step equations, clear and concise concepts, and ready-to-use formulas, this essential workbook bridges the gap between basic beginners primers and more advanced surveys to provide hands-on tools you can begin to use immediately. Its all you need to put your math skills to work and make the money work for you. Brilliantly researched, impeccably detailed, and thoroughly comprehensive, Fixed Income Finance is applied mathematics at its best and most useful. This item ships from multiple locations. Your book may arrive from Roseburg,OR, La Vergne,TN. Hardcover. Codice libro della libreria 9780071621205

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Descrizione libro McGraw-Hill Education. Hardcover. Condizione libro: New. 0071621202 Special order direct from the distributor. Codice libro della libreria ING9780071621205

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