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The subtitle says it all: "essential math for global capital market players."
This is a practical workbook on calculating the prices and returns on complex financial instruments. Designed for working professionals on Wall Street, this workbook is sprinkled with "fast facts" about the inner workings of the capital markets. Its lively and accessible style communicates math concepts accurately on the first reading, with plenty of exercises integrated into the text so you can test your understanding as you go. Depending on your personal knowledge base, you can work through each bite-sized chapter or skip a topic, knowing you have a quick reference.
Who needs this workbook?
Professionals working on trading desks and students of money and capital markets, investments, financial institutions, and corporate finance. Excellent math supplement to traditional finance text books.
Structure and interest rate concepts; price-yield relationships, zero coupon; spot and forward rates; bootstrapping; the spot and par curves; price value of a basis point; yield value of a 32nd; duration; convexity; yield curve analysis; money market math; Libor rate and forward rate agreements; converting interest rates; swaps; futures and forwards; floating-rate securities; repurchase agreements and position trades; equity math; portfolio math; performance measurement; credit and other risks.
Conventions used in the capital markets for settlement, day counts and bad dates; Newton-Raphson Search; Excel functions useful for capital markets math; regression analysis; the top 100+ formulas; a glossary; and solutions to all the exercises.
"synopsis" may belong to another edition of this title.
Dr. Norman Toy is one of Wall Street’s best-known and most beloved instructors. Dr. Toy has taught financial math, capital markets, corporate finance and financial analysis at investment banks for over 30 years. His students range from beginning analysts to executives and directors of major financial institutions.
A member of the faculty of Columbia Graduate School of Business since 1969, he teaches advanced corporate finance, debt markets and investment strategies in the school’s Executive MBA Program. His experience includes management posts at Columbia University’s Health Sciences Division and its College of Physicians and Surgeons, and he was a director and principal of the financial counseling firm of Brownson, Rehmus & Foxworth, Inc.
Dr. Norman Toy was educated at the University of Florida, where he earned a BA in mathematics, and the Harvard Business School, where he earned an MBA and Doctorate in managerial economics (management science and operations research. Dr. Toy’s research interests include capital markets, valuation and corporate finance and he is the author of articles on finance, marketing and statistics.
His books include Introduction to Financial Math and Capital Markets Math, both published by Adkins Matchett & Toy, which delivers practical, hands-on training to investment banks, financial institutions, corporations, asset managers and government agencies.
"About this title" may belong to another edition of this title.
Book Description AMT Rights LLC, 2004. Condition: Good. Shows some signs of wear, and may have some markings on the inside. Seller Inventory # GRP70941966
Book Description Condition: Good. This is a paper back book. The cover or pages have curled corners. The pages have normal wear. We ship Monday-Saturday and respond to inquries within 24 hours. Seller Inventory # 3O6HLS000NW6
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Book Description AMT Rights LLC, 2004. Paperback. Condition: Good. No cd or Code if issued. Good solid copy, mild to moderate reading/age wear, no DJ if issued, may have some light markings or exowner inscription. We take great pride in accurately describing the condition of our books and media, ship within 48 hours, and offer a 100% money back guarantee. Seller Inventory # mon0000055294
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