Further it discussed fixed income derivatives market instruments and macroeconomic analysis required for fixed income securities, It also includes an appendix covering fixed income mathematics, convexity and other pertinent topics. Besides these, it includes numerous cases and numerical examples to explain trading strategies for bull and bear markets. This book will be useful to fixed income analysts, fund managers and CFOs. Students pursuing MBA, CFA and CA would also find it beneficial.
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Seller: booksdeck, Westlake Village, CA, U.S.A.
Softcover. Condition: New. Brand new book. This is an international edition textbook with identical content as the US version and is usually paperback bound instead of hardcover. We ship all our orders from CA/IL, USA (depending on your address) and NOT from Asia! Buy with confidence from a 5-star US based seller. Choose expedited shipping for superfast delivery with tracking. Seller Inventory # 873|9780070621008
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