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Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)
Understanding fixed-income analytics is essential in today's dynamic financial environment.
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)
Item #: 24752956

Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)

Item #: 24752956

NGN 141353

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Understanding fixed-income analytics is essential in today's dynamic financial environment.
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What Stands Out

Comprehensive Analysis
This book provides an in-depth understanding of fixed income analytics, covering relative value analysis, risk measures, and valuation techniques essential for finance professionals and investors.
Expert Insights
Authored by Frank J. Fabozzi, a renowned expert in finance, this edition offers valuable perspectives and methodologies that enhance decision-making capabilities in fixed income investments.
Updated Content
The second edition includes revised examples and contemporary case studies, ensuring relevance to today's financial landscape, making it an indispensable resource for both students and practitioners.

Product Details

Explore the 2nd Edition of Introduction to Fixed Income Analytics. Discover risk measures, relative value analysis and advanced valuation techniques. Shop now on Ubuy Nigeria!
  • Comprehensive introduction to key concepts of fixed income analytics
  • Fully updated Second Edition reflecting current economic conditions
  • Includes additional chapters on relative value analysis and value-at-risk measures
  • Offers insights into value-at-risk, relative value measures, and convertible bond analysis
  • Covers important analytical concepts used by portfolio managers
  • Provides updated charts and descriptions using Bloomberg screens
Publisher Wiley
Publication date October 12, 2010
Edition 2nd
Language English
Print length 496 pages
ISBN-10 9780470572139
ISBN-13 978-0470572139
Item Weight 11.7 ounces (331.7 grams)
Dimensions 6.24 x 1.31 x 9.24 inches (15.8 x 3.3 x 23.5 cm)

Who Should Buy?

Suitable For
  • Finance Students

    Ideal for undergraduate and graduate students studying finance, particularly those focusing on fixed income securities and analytics.

  • Investment Professionals

    Beneficial for analysts and portfolio managers seeking to enhance their skills in fixed income valuation and risk measurement.

  • Academics and Researchers

    Useful resource for academics and researchers focusing on fixed income analytics and seeking comprehensive methodologies.

Not Suitable For
  • Beginner Investors

    Not suitable for novice investors lacking foundational knowledge of fixed income concepts and financial analytics.

Product Description

Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation (The Frank J. Fabozzi Series, 191)

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Pros

  • Comprehensive coverage of fixed income
  • Clear explanations and examples
  • Useful for both beginners and experts
  • Strong emphasis on real-world applications
  • Includes updated market data

Cons

  • A few sections could be more concise.

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