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Fixed Income Mathematics
Frank J. Fabozzi
其他書名
Analytical & Statistical Techniques
出版
Irwin Professional Pub.
, 1997
主題
Business & Economics / Corporate Finance / General
Business & Economics / Finance / General
Business & Economics / Investments & Securities / General
ISBN
0786311215
9780786311217
URL
http://books.google.com.hk/books?id=H67DQgAACAAJ&hl=&source=gbs_api
註釋
In this revised and updated edition of Frank Fabozzi's landmark Fixed Income Mathematics, the fixed income market's new concepts are explained, from the basic tenets of financial mathematics to new methodologies for evaluation of securities with embedded options, mortgage-backed securities and the numerous other categories that have reshaped today's fixed income market. Written and revised by the world-renowned author and financial analyst Frank Fabozzi, with many of its portions derived from lectures delivered by Dr. Fabozzi to students at Yale's School of Management and MIT's Sloan School of Management as well as professionals at numerous financial institutions worldwide, Fixed Income Mathematics is required reading for all fixed income participants. Expert, thorough analysis of this volatile market's latest developments, all presented in the straightforward, comprehensible style that has become a Fabozzi trademark, will leave you with a far greater ability to utilize and take advantage of the newest advances in fixed income analysis, research and strategies.