Strategic Fixed Income Investing - An Insider`s Perspective on Bond Markets, Analysis, and Portfolio Management, Simko
Автор: Giovanni Barone-Adesi; Nicola Carcano Название: Modern Multi-Factor Analysis of Bond Portfolios ISBN: 1137564857 ISBN-13(EAN): 9781137564856 Издательство: Springer Рейтинг: Цена: 7965.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Where institutions and individuals averagely invest the majority of their assets in money-market and fixed-income instruments, interest rate risk management could be seen as the single most important global financial issue.
Описание: This textbook will be designed for fixed--incomesecurities courses taught on MSc Finance and MBAcourses. There is currently no suitable text thatoffers a `Hull--type` book for the fixed income studentmarket. This book aims to fill this need. The bookwill contain numerous worked examples, excelspreadsheets, with a building block approachthroughout.
Автор: Moorad Choudhry Название: Bond and Money Markets, ISBN: 0750660783 ISBN-13(EAN): 9780750660785 Издательство: Elsevier Science Рейтинг: Цена: 25602.00 р. Наличие на складе: Поставка под заказ.
Описание: Serves as a reference to the aspects of fixed income markets and instruments. Useful for professionals and graduate students, this title features coverage of: Government and Corporate bonds, Eurobonds, callable bonds, convertibles; asset-backed bonds including mortgages and CDOs; derivative instruments; term structure models; and more.
Автор: Cfa Institute Название: Fixed income analysis, 5 ed. ISBN: 1119850541 ISBN-13(EAN): 9781119850540 Издательство: Wiley Рейтинг: Цена: 13464.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Автор: Hill, John (president And Ceo Of Derivatives Strategy Group, Rye, Ny, Usa) Название: Environmental, social, and governance (esg) investing ISBN: 0128186925 ISBN-13(EAN): 9780128186923 Издательство: Elsevier Science Рейтинг: Цена: 13304.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание:
Environmental, Social, and Governance (ESG) Investing: A Balanced Analysis of the Theory and Practice of a Sustainable Portfolio presents a balanced, thorough analysis of ESG factors as they are incorporated into the investment process. An estimated 25% of all new investments are in ESG funds, with a global total of $23 trillion and the U.S. accounting for almost $9 trillion. Many advocate the sustainability goals promoted by ESG, while others prefer to maximize returns and spend their earnings on social causes. The core problem facing those who want to promote sustainability goals is to define sustainability investing and measure its returns.
This book examines theories and their practical implications, illuminating issues that other books leave in the shadows.
Provides a dispassionate examination of ESG investing
Presents the historical arguments for maximizing returns and competing theories to support an ESG approach
Reviews case studies of empirical evidence about relative returns of both traditional and ESG investment approaches
Автор: Johnson Название: Equity Markets and Portfolio Analysis ISBN: 1118202686 ISBN-13(EAN): 9781118202685 Издательство: Wiley Рейтинг: Цена: 11880.00 р. Наличие на складе: Поставка под заказ.
Do you want to learn how to make money with swing trading, or even make passive income by learning how to invest the right way, but don't know where to get started?
Learning to invest the right way can seem like a daunting task, especially when it seems easier to just buy what the so called experts say. But, without learning the ins and outs of investment you're more likely to lose money than make it.
This book will show you how to take your investing to the next level. You'll learn expert strategies and secrets used by some of the richest traders today to help guarantee that you'll never lose money on the market again.
You'll learn the secrets used by thousands of traders all around the world to set a passive income strategy that will make you money for the rest of your life.
This book will teach you:
What swing trading is and why you should do it
The history of the FX market
Technical rules that every trader needs to know
The best fundamental trading strategies to use today
How to select the best stocks for swing trading
The difference between swing trading and day trading
And so much more
By following along with this book you'll gain the tools necessary to master swing trading so that you can make your financial dreams a reality.
If you are ready to learn how to swing trade so that you can start living the kind of life you've only dreamed about then you need to get this book today
Do you want to learn how to make money with swing trading, or even make passive income by learning how to invest the right way, but don't know where to get started?
Learning to invest the right way can seem like a daunting task, especially when it seems easier to just buy what the so called experts say. But, without learning the ins and outs of investment you're more likely to lose money than make it.
This book will show you how to take your investing to the next level. You'll learn expert strategies and secrets used by some of the richest traders today to help guarantee that you'll never lose money on the market again.
You'll learn the secrets used by thousands of traders all around the world to set a passive income strategy that will make you money for the rest of your life.
This book will teach you:
What swing trading is and why you should do it
The history of the FX market
Technical rules that every trader needs to know
The best fundamental trading strategies to use today
How to select the best stocks for swing trading
The difference between swing trading and day trading
And so much more
By following along with this book you'll gain the tools necessary to master swing trading so that you can make your financial dreams a reality.
If you are ready to learn how to swing trade so that you can start living the kind of life you've only dreamed about then you need to get this book today
Описание: Do you want more money in your pocket for smaller investment? Do you want to make a lot more profit, for a lot less outlay and risking a lot less? Then you must understand how the options works
Trading on the stock market can be a complicated business with as much potential for loss as gain.
Options are no exception and thus are most viable in the hands of a practiced and accomplished trader. However, the investor who learns to use stock options to his or her advantage will be in a well-placed position when they incur what is known as risk capital, which are securities that are high risk but may also yield huge amounts of profit. This can be accomplished by using stock options to purchase an underlying asset
Options trading is a speculation vehicle for experienced financial specialists, who track their ventures proactively. It's anything but a suitable car for financial specialists hoping to keep up resources without direct administration, as it's mainly a planning related buy and buoy.
Options trading is a superb procedure for utilizing money related influence to make more fabulous buys.
This Book Covers:
What is Options Trading
What is Options Contract
Understanding of Options
Strike Price
How to Start
The Purchase of Options
Covered Calls
Buying Calls
Volatility in The Market
IN The Money OUT the Money
Buying and Selling Puts
Beginners Common Mistake
Risk and Options Parameter
Advanced Trading Strategies
And much more
In order to be successful at any venture, you need to learn more about it and this is where this book comes in.
Many people go into options trading thinking that it is a place to make quick money without taking the time to learn about options trading, then they talk about how options trading does not work, when in fact they skipped the most important thing: learning. Thank goodness, that does not have to be you because you are here
An extremely straightforward case of an options trade would be this: If you're selling a product worth $100,000 (state 1,000 offers of a stock worth $100 per share), and a planned buyer prefers the value, they can offer to pay for an alternative to buy those items, while investing the energy looking into different ventures. State, for instance, they're putting forth you $1,000 to hold that cost for them while they accumulate the remainder of the assets, which they state will take three months.
At the point when three months pass, they either pay the remaining $99,000 for the offers of the stock or relinquish the choice. When the stock goes up in cost to $110 per share from $100, they can either buy the stock or sell the alternative to another person for the contrast between the old price and the new cost. In any case, the individual holding the option stands to make a clean benefit.
Have you been looking for other ways of making money but are not quite sure where to start or have you heard about options trading, and would love to learn more about it and make money? If that is you, then this book is definitely something that you need.
Автор: Bolder, David Jamieson Название: Fixed-income portfolio analytics ISBN: 3319126660 ISBN-13(EAN): 9783319126661 Издательство: Springer Рейтинг: Цена: 11179.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Fixed-Income Portfolio Analytics
Автор: Poufinas Название: Fixed Income Investing ISBN: 3030879240 ISBN-13(EAN): 9783030879242 Издательство: Springer Рейтинг: Цена: 19564.00 р. Наличие на складе: Есть у поставщика Поставка под заказ.
Описание: Fixed income investments have been a topic of broad interest, in particular for institutional investors such as insurance companies and pensions schemes. They were considered safe heavens in turbulent times by almost all other institutional and individual investors and are used for strategies such as portfolio immunization and asset liability matching (ALM). The latest crisis, however, revealed some of the weaknesses of fixed income instruments. They proved to be not as safe as originally thought with both credit and interest rate risks emerging. Consequently, fixed income investments have been in the spotlight once more. This book presents all aspects pertaining to fixed income investments, starting from the basics—i.e. the types of bonds, their valuation, the interest rate term structure—then moving to fixed income portfolio management and the interest rate and credit derivatives and their relevant markets, funds, risks and risk management. Finally, the book addresses contemporary issues such as their behavior in times of crisis, their relation to debt, their coexistence with equity and the current regulatory environment. This book, providing a look at the broader environment of fixed income alongside the current market structure, will be of interest to students, academics, researchers and practitioners in fixed income and investing strategies.
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