Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies
Language: English
Published by Wiley, 2003
- Softcover
- Used

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- Title
- Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies
- Author
- Martellini, Lionel
- Publisher
- Wiley
- Publication year
- 2003
- Condition
- Very Good
- Binding
- paperback
- Language
- English
- ISBN 10
- 0470852771
- ISBN 13
- 9780470852774
- Dimensions
- 3.8 x 18.5 x 24.4 centimeters
- The text will be supported by a set of PowerPoint slides for use by the lecturer
- First textbook designed for students written on fixed-income securities - a growing market
- Contains numerous worked examples throughout
- Includes coverage of important topics often omitted in other books i.e. deriving the zero yield curve, deriving credit spreads, hedging and also covers interest rate and credit derivatives
"Synopsis" may belong to another edition of this title.
About the Author
Philippe Priaulet is a fixed-income strategist in charge of derivatives strategies for HSBC. His expertise is related to fixed-income asset management and derivatives pricing and hedging, and his research has been published in leading academic and practitioners' journals. Formerly, he was head of fixed-income research in the Research and Innovation Department of HSBC-CCF.
Stéphanie Priaulet is a senior index portfolio manager in the Structured Asset Management Department at AXA Investment Managers. Previously, he was head of qualitative engineering in The Fixed Income Research Department at AXA Investment Managers. He also teaches "fixed-income securities" as a part-time lecturer at the University Paris Dauphine. He is a member of the editorial board of The Journal of Bond Trading and Management, where he has published several research papers.
"About the title" may belong to another edition of this title.
Book Gurus
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