Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques

Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques

McGraw-Hill Education

Master the complexities of fixed income markets with 'Fixed Income Mathematics, Fifth Edition: Analytical and Statistical Techniques' by Frank Fabozzi. This comprehensive guide provides in-depth coverage of the analytical and statistical methods essential for understanding and navigating the world of fixed income securities. Whether you are a student, a financial professional, or an investor, this book offers the tools and knowledge needed to make informed decisions. Explore key concepts, sophisticated models, and practical applications that are crucial for success in today's financial landscape. Key topics covered include: - Bond valuation and yield calculations - Interest rate risk management - Derivative pricing for fixed income - Statistical analysis of fixed income data - Portfolio construction and optimization This fifth edition is updated to reflect current market practices and regulatory changes, ensuring you have the most relevant information at your fingertips. Product Summary: Fixed Income Mathematics book, Fifth Edition, by Frank Fabozzi, covering analytical and statistical techniques for fixed income securities.

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