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Finance, Economics, and Mathematics
  • Language: en

Finance, Economics, and Mathematics

  • Type: Book
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  • Published: 2016
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  • Publisher: Unknown

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Finance, Economics, and Mathematics
  • Language: en
  • Pages: 370

Finance, Economics, and Mathematics

The compiled works of the man behind the evolution of quantitative finance Finance, Economics, and Mathematics is the complete Vasicek reference work, including published and unpublished work and interviews with the man himself. The name Oldrich A. Vasicek is synonymous with cutting-edge research in the finance fields, and this book comes straight from the source to bring you the undiluted mother lode of quant wisdom from one of the founders of the field. From his early work in yield curve dynamics, to the mean-reverting short-rate model, to his thoughts on derivatives pricing, to his work on credit risk, to his most recent research on the economics of interest rates, this book represents th...

Valuation of Fixed Income Securities and Derivatives
  • Language: en
  • Pages: 296

Valuation of Fixed Income Securities and Derivatives

The authoritative resource for understanding and practicing valuation of both common fixed income investment vehicles and complex derivative instruments-now updated to cover valuing interest rate caps and floors.

Bond Portfolio Management
  • Language: en
  • Pages: 738

Bond Portfolio Management

In Bond Portfolio Management, Frank Fabozzi, the leading expert in fixed income securities, explains the latest strategies for maximizing bond portfolio returns. Through in-depth discussions on different types of bonds, valuation principles, and a wide range of strategies, Bond Portfolio Management will prepare you for virtually any bond related event-whether your working on a pension fund or at an insurance company. Key topics include investment objectives of institutional investors, general principles of bond valuation, measuring interest rate risk, and evaluating performance. Bond Portfolio Management is an excellent resource for anyone looking to master one of the world's largest markets, and is a perfect companion to Fabozzi's successful guide-The Handbook of Fixed-Income Securities.

The McGraw-Hill Finance Literature Index
  • Language: en
  • Pages: 508

The McGraw-Hill Finance Literature Index

  • Type: Book
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  • Published: 1996
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  • Publisher: Unknown

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Managing Investment Portfolios
  • Language: en
  • Pages: 960

Managing Investment Portfolios

"A rare blend of a well-organized, comprehensive guide to portfolio management and a deep, cutting-edge treatment of the key topics by distinguished authors who have all practiced what they preach. The subtitle, A Dynamic Process, points to the fresh, modern ideas that sparkle throughout this new edition. Just reading Peter Bernstein's thoughtful Foreword can move you forward in your thinking about this critical subject." —Martin L. Leibowitz, Morgan Stanley "Managing Investment Portfolios remains the definitive volume in explaining investment management as a process, providing organization and structure to a complex, multipart set of concepts and procedures. Anyone involved in the management of portfolios will benefit from a careful reading of this new edition." —Charles P. Jones, CFA, Edwin Gill Professor of Finance, College of Management, North Carolina State University

Advanced Analytical Models
  • Language: en
  • Pages: 1035

Advanced Analytical Models

If you’re seeking solutions to advanced and even esoteric problems, Advanced Analytical Models goes beyond theoretical discussions of modeling by facilitating a thorough understanding of concepts and their real-world applications—including the use of embedded functions and algorithms. This reliable resource will equip you with all the tools you need to quantitatively assess risk in a range of areas, whether you are a risk manager, business decision-maker, or investor.

Active Credit Portfolio Management in Practice
  • Language: en
  • Pages: 645

Active Credit Portfolio Management in Practice

State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis Filled with in-depth insights and expert advice, Active Credit Portfolio Management in Practice serves as a comprehensive introduction to both the theory and real-world practice of credit portfolio management. The authors have written a text that is technical enough both in terms of background and implementation to cover what practitioners and researchers need for actually applying these types of risk management tools in large organizations but which at the same time, avoids technical proofs in favor of real applications. Throughout this book, readers will ...

Next Generation Data Science
  • Language: en
  • Pages: 264

Next Generation Data Science

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Finance Literature Index
  • Language: en
  • Pages: 622

Finance Literature Index

  • Type: Book
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  • Published: 1994
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  • Publisher: Unknown

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