
包邮固定收入证券市场及其衍生产品,第2版(第2版)
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- ISBN:7301059639
- 装帧:简裝本
- 册数:暂无
- 重量:暂无
- 开本:大16开
- 页数:717
- 出版时间:2003-01-01
- 条形码:9787301059630 ; 978-7-301-05963-0
内容简介
本书提供固定收入证券市场和其衍生产品市场,包括国债、公司债、机构债和住房抵押贷款债券以及债务期权、期货、互换市场的总述。它帮助学生理解这些市场中的相应理论,让学生日后更自信、更聪明地作为公司顾客、债券交易商、银行家和投资者参与债券市场。
目录
Preface
Part Markets,Mechanisms,and Basic Tools
Chapter 1 An Overview of Fixed-Income Securities
Chapter 2 Organization and Conduct of Debt Markets
Chapter 3 Treasury Auctions and Selling Mechanisms
Chapter 4 Bond Mathematics
Chapter 5 Yield-Curve Analysis-1
Chapter 6 Yield-Curve Analysis-2
Part 2 Fixed-Income Markets and Portfolio Management
Chapter 7 Inflation-Indexed Debt Markets
Chapter 8 Agency and Corporate Debt Markets
Chapter 9 Securitization and Mortgage-Backed Securities
Chapter 10 Tax-Exempt Debt Markets
Chapter 11 Emerging Debt Markets
Chapter 12 Portfolio-Management Techniques
Part 3 Fixed-Income Derivatives and Risk Management
Chapter 13 An Overview of Derivatives Markets
Chapter 14 Options Pricing Theory with Applications to Fixed-Income Markets
Chapter 15 Treasury Futures Contracts
Chapter 16 Eurodollar Futures and Swaps
Chapter 17 Models of Yield Curve and Yiled Curve Derivatives
Chapter 18 Credit Risk
Chapter 19 Risk Management
Index
Part Markets,Mechanisms,and Basic Tools
Chapter 1 An Overview of Fixed-Income Securities
Chapter 2 Organization and Conduct of Debt Markets
Chapter 3 Treasury Auctions and Selling Mechanisms
Chapter 4 Bond Mathematics
Chapter 5 Yield-Curve Analysis-1
Chapter 6 Yield-Curve Analysis-2
Part 2 Fixed-Income Markets and Portfolio Management
Chapter 7 Inflation-Indexed Debt Markets
Chapter 8 Agency and Corporate Debt Markets
Chapter 9 Securitization and Mortgage-Backed Securities
Chapter 10 Tax-Exempt Debt Markets
Chapter 11 Emerging Debt Markets
Chapter 12 Portfolio-Management Techniques
Part 3 Fixed-Income Derivatives and Risk Management
Chapter 13 An Overview of Derivatives Markets
Chapter 14 Options Pricing Theory with Applications to Fixed-Income Markets
Chapter 15 Treasury Futures Contracts
Chapter 16 Eurodollar Futures and Swaps
Chapter 17 Models of Yield Curve and Yiled Curve Derivatives
Chapter 18 Credit Risk
Chapter 19 Risk Management
Index
展开全部
作者简介
Suresh M.Sundaresan是Columbia University商学院金融研究所的Chase Manhattan Bank基金教授。他从Cranegie-Mellon University获博士学位。Sundaresan教授已经出版了大量关于国债拍卖、利率期限结构、浮动利率、国库券、公司债券和衍生证券的论文。他曾经为Goldman Sachs,Credit Suisse,Barclays,Lehman Brothers和Morgan Stanley做过关于固定收入证券和衍生产品市场的咨询以及为它们做到职员培训。
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