The Strategic Bond Investor: Strategies and Tools to Unlock the Power of the Bond Market
by Anthony Crescenzi
Discover Profit Opportunitiesin Today’s Bond Market! “Tony Crescenzi knows bonds and his book proves it.”Bill Gross, Managing Director, Pacific Investment Management Company In 2002, Anthony Crescenzi opened thedoor to an innovative new style of investingwith his publication of The Strategic BondInvestor. The book instantly became the go-toguide for investors seeking an aggressive yetrisk-conscious path to profit. Now, Crescenziprovides a completely updated edition of hispopular bond book to a...
Price-Forecasting Models for U.S. Physical Therapy USPH Stock
by Ton Viet Ta
Price-Forecasting Models for Toyo Seikan Group Holdings Ltd 5901 Stock (Nikkei 225 Components, #212)
by Ton Viet Ta
Top US Retirement Plans - Multiemployer Plan - West Virginia (Multiemployer Plan, #1)
by Omar Hassan
Top US Retirement Plans - Multiemployer Plan - Tennessee (Multiemployer Plan, #1)
by Omar Hassan
Top US Retirement Plans - Multiple-Employer Plan - Arizona (Multiple-Employer Pension Plans, #1)
by Omar Hassan
Keys to Investing in Corporate Bonds (Barron's Business Keys)
by Nicholas G Apostolou
Moorad continues to demonstrate his financial expertise, and shows us why he is one of the best-selling authors in our industry today. - Eric Subliskey, Vice President, Short-Term Fixed Income JPMorgan Securities inc., New York An invaluable reference work for anyone connected with the corporate debt markets, be they issuer, investor or trader. Dr Choudhry writes in his trademark accessible style and provides the reader with a wealth of data and insight on the latest market products and techniq...
Recent Technological Advances in Financial Market Infrastructure in ASEAN+3
This report identifies and examines six key technologies that are transforming fundamental financial market infrastructure and will serve as a springboard for the technological advancement of financial market infrastructure in the region. This report ascertains the most current status of technology adoption by Cross-Border Settlement Infrastructure Forum member organizations. They include central securities depositories and central banks in the Association of Southeast Asian Nations (ASEAN) plu...
Nonequity financial markets used to be ""hidden"" in Europe,in the sense that they traditionally received less attention from ordinary investors and the media than equity markets, relative to their size. This phenomenon was accentuated by the fact that the EU's Financial Services Action Plan was primarily geared toward equity markets. Given the crucial role played by bond markets in the economy through the capital allocation process, monetary policy decisions, and the hedging of risk, this study...
IF YOU KNEW WHAT I KNOW... Would you buy a municipal bond for the subways in New York City that’s rated AA-, or only A? Would you care what a bond is for as long, as it’s a general obligation backed by the issuer’s full faith, credit, and taxing power? Would you pay 109 for a bond, a premium of $90 for every $1,000 face value, knowing you’re going to get back only $1,000 at the end??Would it be crazy to buy a 30-year bond at age 80? Would you read “these bonds are not a debt of the state” as a f...
Valuation In A World Of Cva, Dva, And Fva : A Tutorial On Debt Securities And Interest Rate Derivatives
by Donald J Smith
CVA, DVA, and FVA, which are the acronyms for credit, debit, and funding valuation adjustments, have become widely used by major banks since the financial crisis. This book aims to bridge the gap between the highly complex and mathematical models used by these banks to adjust the value of debt securities and interest rate derivatives, and the end users of the valuations, for example, accountants, auditors, and analysts. The book, which is essentially a tutorial, demonstrates the types of models...
MASTER THE STRATEGY THAT MADE WARREN BUFFETT THE WORLD'S MOST SUCCESSFUL INVESTOROne way to make a killing in the market is by identifying underappreciated stocks, purchasing them at less than their intrinsic value, and selling them for profit. It's called value investing, and it's how Ben Graham, David Dodd, and Warren Buffett made their fortunes. Now, the secrets of value investing are available to you in this easy-to-understand guide. All About Value Investing covers all practical aspects of...
South Asian Bond Markets
by Kiatchai Sophastienphong, Yibin Mu, and Carlotta Saporito
The financial sectors in South Asia are dominated by commercial banks, which account for the vast majority of the financial system's assets. The domestic debt markets including the government bond and corporate bond markets are at an early stage of development and there are few institutional investors. In recent years, countries in South Asia have attempted to develop local debt markets, although the pace of development remains uneven and slow due to many regulatory and institutional impediments...
For upper-level college courses in Economics or Finance that focus on bond markets. This comprehensive textbook on bonds takes a practical real-world approach focusing on the bond market and the tools for managing bond portfolios. It includes a detailed discussion of each type of bond and interest rate derivative. The text features comprehensive discussion of not only the instruments, but their investment characteristics, the state-of-the art technology for valuing them, and portfolio strategi...
Managing Credit Risk in Corporate Bond Portfolios (Frank J. Fabozzi, #106)
by Srichander Ramaswamy
Expert guidance on managing credit risk in bond portfolios Managing Credit Risk in Corporate Bond Portfolios shows readers how to measure and manage the risks of a corporate bond portfolio against its benchmark. This comprehensive guide explores a wide range of topics surrounding credit risk and bond portfolios, including the similarities and differences between corporate and government bond portfolios, yield curve risk, default and credit migration risk, Monte Carlo simulation techniques, and p...
The coming financial apocalypse and what government and individuals can do to insulate themselves against the worst shocks In this controversial book a noted adherent of Austrian School of Economics theories advances the thesis that the United States is fast approaching the end stage of the biggest asset bubble in history. He describes how the bursting of the bubble will cause a massive interest rate shock that will send the US consumer economy and the US government pumped up by massive Treasury...