Bond Evaluation, Selection, and Management

A fully revised guide to fixed income securities that reflects current market conditions

The Second Edition of Bond Evaluation, Selection, and Management combines fundamental and advanced topics in the field, offering comprehensive coverage of bond and debt management.

This fully updated and revised edition provides you with the basics needed to understand various strategies, and explanations of cutting edge advanced topics. Focusing on essential concepts, models, and numerical examples, this book will help you quickly become familiar with the tools needed to effectively select, evaluate, and manage bonds.

  • Covers both the fundamental and advanced topics in the field, including debt securities, bonds with embedded options, asset-backed securities, and bond derivatives
  • Reinforces important concepts through review questions, web exercises, and practice problems in each chapter
  • Reviews the history of the credit markets from the 1980s to the present with a retrospective look at the 2008 financial crisis
  • Contains 'Interview Boxes' consisting of questions and answers with distinguished fixed-income portfolio managers, traders, analysts, and academicians

Filled with in-depth insights and practical advice, this reliable resource offers a solid foundation in understanding the complexities of evaluating and selecting bonds and other fixed income securities.

R. STAFFORD JOHNSON is Professor of Finance at the Williams College of Business, Xavier University. He is the author of Options and Futures and has written many articles for journals such as Applied Economics, Journal of Financial Education, International Review of Economics & Business, Journal of Economics, the Financial Review, and the Review of Quantitative Finance and Accounting.

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