
Fixed-Income Securities
valuation, risk management and portfolio strategies
$167.70
- Paperback
672 pages
- Release Date
27 May 2003
Summary
Mastering Fixed Income: A Practical Guide to Securities and Strategies
This textbook is designed for fixed-income securities courses taught on MSc Finance and MBA programs, filling a gap in the market for a comprehensive and accessible resource.
Key Features:
- Building Block Approach: The book employs a step-by-step methodology, making complex concepts easier to understand.
- Worked Examples: Numerous pra…
Book Details
ISBN-13: | 9780470852774 |
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ISBN-10: | 0470852771 |
Series: | The Wiley Finance Series |
Author: | Lionel Martellini, Philippe Priaulet, Stéphane Priaulet |
Publisher: | John Wiley & Sons Inc |
Imprint: | John Wiley & Sons Inc |
Format: | Paperback |
Number of Pages: | 672 |
Edition: | 1st |
Release Date: | 27 May 2003 |
Weight: | 1.29kg |
Dimensions: | 244mm x 185mm x 38mm |
What They're Saying
Critics Review
“This is the first book I have seen to carefully cover such a wide set of topics in both theoretical and applied fixed-income modelling, ranging from the use of market information to obtain yield curves, to the pricing and hedging of bonds and fixed-income derivatives, to the currently active topic of defaultable yield-curve modelling. It will be particularly useful to practitioners.” - Darrell Duffie, Stanford University “This is the most comprehensive theoretical treatment of the subject I’ve ever seen.” - Mark Rubinstein, Haas School of Business, University of California “An excellent review of interest rate models and of the pricing and hedging principles in the fixed-income area.” - Oldrich Alfons Vasicek, KMV Corporation
About The Author
Lionel Martellini
Lionel Martellini is an assistant Professor of Finance at the Marshall School of Business, University of Southern California, where he teaches “fixed-income securities” at the MBA level. He is also a research associate at the EDHEC Risk and Asset Management Research Center, and a member of the editorial boards of The Journal of Bond Training and Management and The Journal of Alternative Investments.
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.
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