內容簡介

Covering the fields of asset and derivative pricing, optimization techniques and trading, and risk management strategies, this is a collaborative overview of the euro-denominated bond market since the creation of the eurozone that is primarily aimed at Master’s level students taking course in the economics or the financial markets of the euro area. Eight chapters discuss: the building blocks of the euro-dominated bond market, the bond market’s infrastructure, the evolution of government bond markets, the evolution of the corporate bond market, the role of credit rating agencies in bond markets, securitization, the different structured products of bond markets, and the role of credit derivative instruments. Basic knowledge of finance is expected and some familiarity with basic statistics and other basic mathematical knowledge is considered helpful. Annotation ©2014 Ringgold, Inc., Portland, OR (protoview.com)
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