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Fixed Income Analysis Workbook, Second Edition (CFA Institute Investment Series) - Frank J. Fabozzi
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Frank J. Fabozzi:

Fixed Income Analysis Workbook, Second Edition (CFA Institute Investment Series) - edizione con copertina flessibile

2007, ISBN: 0470069198

[EAN: 9780470069196], Used, good, [PU: Wiley], Spine creases, wear to binding and pages from reading. May contain limited notes, underlining or highlighting that does affect the text. Pos… Altro …

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Frank J. Fabozzi:

Fixed Income Analysis Workbook, Second Edition (CFA Institute Investment Series) - edizione con copertina flessibile

ISBN: 9780470069196

Wiley. Paperback. GOOD. Spine creases, wear to binding and pages from reading. May contain limited notes, underlining or highlighting that does affect the text. Possible ex library copy… Altro …

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Fabozzi, Frank J.:
Fixed Income Analysis Workbook - edizione con copertina flessibile

2007

ISBN: 9780470069196

Paperback, Connecting readers with great books since 1972! Used books may not include companion materials, and may have some shelf wear or limited writing. We ship orders daily and Custom… Altro …

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Fixed Income Analysis Workbook - Fabozzi, Frank J.
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Fabozzi, Frank J.:
Fixed Income Analysis Workbook - edizione con copertina flessibile

2007, ISBN: 0470069198

[EAN: 9780470069196], Used, good, [PU: John Wiley & Sons], Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less, Books

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Fabozzi, Frank J.:
Fixed Income Analysis Workbook - edizione con copertina flessibile

2007, ISBN: 9780470069196

Softcover, Used, good, Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less., [PU: John Wiley & Sons]

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Dettagli del libro
Fixed Income Analysis: Workbook (CFA Institute Investments)

In the Second Edition of Fixed Income Analysis, financial expert Frank Fabozzi and a team of knowledgeable contributors provide complete coverage of the most important issues in fixed income analysis. Now, in Fixed Income Analysis Workbook, Second Edition, Fabozzi offers you a wealth of practical information and exercises that will solidify your understanding of the tools and techniques associated with this discipline. This comprehensive study guide--which parallels the main book chapter by chapter--contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews. If you want to make the most of your time in the fixed income marketplace, the lessons within this workbook can show you how. Topics reviewed include: * The risks associated with investing in fixed income securities * The fundamentals of valuation and interest rate risk * The features of structured products--such as mortgage-backed securities and asset-backed securities * The principles of credit analysis * The valuation of fixed income securities with embedded options

Informazioni dettagliate del libro - Fixed Income Analysis: Workbook (CFA Institute Investments)


EAN (ISBN-13): 9780470069196
ISBN (ISBN-10): 0470069198
Copertina flessibile
Anno di pubblicazione: 2007
Editore: John Wiley & Sons
343 Pagine
Peso: 0,617 kg
Lingua: eng/Englisch

Libro nella banca dati dal 2008-01-05T21:40:39+01:00 (Zurich)
Pagina di dettaglio ultima modifica in 2023-09-01T13:28:24+02:00 (Zurich)
ISBN/EAN: 9780470069196

ISBN - Stili di scrittura alternativi:
0-470-06919-8, 978-0-470-06919-6
Stili di scrittura alternativi e concetti di ricerca simili:
Autore del libro : fabozzi, frank, cfa institute, john main
Titolo del libro: cfa, fix, fixed income analysis, investment institute, workbook


Dati dell'editore

Autore: Frank J. Fabozzi
Titolo: The CFA Institute Series; Fixed Income Analysis - Workbook
Editore: John Wiley & Sons
360 Pagine
Anno di pubblicazione: 2007-02-16
Peso: 0,612 kg
Lingua: Inglese
41,90 € (DE)
Not available (reason unspecified)
179mm x 253mm x 23mm

BC; PB; Hardcover, Softcover / Wirtschaft/Betriebswirtschaft; Betriebswirtschaft und Management; Kapitalanlage

PART I: Learning Outcomes, Summary Overview, and Problems. CHAPTER 1: Features of Debt Securities. CHAPTER 2: Risks Associated with Investing in Bonds. CHAPTER 3: Overview of Bond Sectors and Instruments. CHAPTER 4: Understanding Yield Spreads. CHAPTER 5: Introduction to the Valuation of Debt Securities. CHAPTER 6: Yield Measures, Spot Rates, and Forward Rates. CHAPTER 7: Introduction to the Measurement of Interest Rate Risk. CHAPTER 8: Term Structure and Volatility of Interest Rates. CHAPTER 9: Valuing Bonds with Embedded Options. CHAPTER 10: Mortgage-Backed Sector of the BondMarket. CHAPTER 11: Asset-Backed Sector of the BondMarket. CHAPTER 12: ValuingMortgage-Backed and Asset-Backed Securities. CHAPTER 13: Interest Rate Derivative Instruments. CHAPTER 14: Valuation of Interest Rate Derivative Instruments. CHAPTER 15: General Principles of Credit Analysis. CHAPTER 16: Introduction to Bond Portfolio Management. CHAPTER 17: Measuring a Portfolio's Risk Profile. CHAPTER 18: Managing Funds Against a Bond Market Index. CHAPTER 19: Portfolio Immunization and Cash Flow Matching. CHAPTER 20: Relative-ValueMethodologies for Global Credit Bond Portfolio Management. CHAPTER 21: International Bond Portfolio Management. CHAPTER 22: Controlling Interest Rate Risk with Derivatives. CHAPTER 23: HedgingMortgage Securities to Capture Relative Value. CHAPTER 24: Credit Derivatives in Bond Portfolio Management. PART II: CHAPTER 1: Features of Debt Securities. CHAPTER 2: Risks Associated with Investing in Bonds. CHAPTER 3: Overview of Bond Sectors and Instruments. CHAPTER 4: Understanding Yield Spreads. CHAPTER 5: Introduction to the Valuation of Debt Securities. CHAPTER 6: Yield Measures, Spot Rates, and Forward Rates. CHAPTER 7: Introduction to the Measurement of Interest Rate Risk. CHAPTER 8: Term Structure and Volatility of Interest Rates. CHAPTER 9: Valuing Bonds with Embedded Options. CHAPTER 10: Mortgage-Backed Sector of the Bond Market. CHAPTER 11: Asset-Backed Sector of the BondMarket. CHAPTER 12: ValuingMortgage-Backed and Asset-Backed Securities. CHAPTER 13: Interest Rate Derivative Instruments. CHAPTER 14: Valuation of Interest Rate Derivative Instruments. CHAPTER 15: General Principles of Credit Analysis. CHAPTER 16: Introduction to Bond Portfolio Management. CHAPTER 17: Measuring a Portfolio's Risk Profile. CHAPTER 18: Managing Funds Against a Bond Market Index. CHAPTER 19: Portfolio Immunization and Cash Flow Matching. CHAPTER 20: Relative-ValueMethodologies for Global Credit Bond Portfolio Management. CHAPTER 21: International Bond Portfolio Management. CHAPTER 22: Controlling Interest Rate Risk with Derivatives. CHAPTER 23: HedgingMortgage Securities to Capture Relative Value. CHAPTER 24: Credit Derivatives in Bond Portfolio Management. About the CFA Program.

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