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Bonds - 3 - Page 5 - Blowout Sale! Save up to 51%


Blowout Sale! Up to 51% off on Bonds at HYIP Offer, Page 5. Top brands include Marcin Liberadzki Kamil Liberadzki, Brand: Butterworth-Heinemann, Brand: Emerald Group Publishing Limited, Brand: Probus Professional Pub, Brand: Springer, Wiley Finance, Brand: Praeger, Irwin Professional Pub, FT Press, Frank Hagenstein, Wiley, Fourth Estate Classic House, John Wiley & Sons, Moorad Choudhry, E Rossi R Stepic Mahvash Alerassool, Example Product Brand, & Brand: Scott Foresman Trade. Hurry! Limited time offers. Offers valid only while supplies last.



Hybrid Securities: Structuring, Pricing and Risk Assessment
Hybrid Securities: Structuring, Pricing and Risk Assessment
By Marcin Liberadzki Kamil Liberadzki
In Stock
$109.00
$97.56
You Save: 10%

mpn: 20 figures, 16 black & white tables, ean: 9781137589705, isbn: 1137589701,

4.5 out of 5 stars with 39 reviews
Hybrid capital securities or 'hybrids' offer various benefits. They offer flexibility equity without shareholder dilution, provide protection to senior creditors, are a stable source of long-term funding for healthy companies, and help insurers and banks meet regulatory and rating agency capital requirements. Risks and features of hybrid securities are expressed in the credit spread of some relatively new financial instruments, but no structural fundamentals exist for to price hybrids


Bond and Money Markets: Strategy, Trading, Analysis (Securities Institution Professional Reference Series)
Bond and Money Markets: Strategy, Trading, Analysis (Securities Institution Professional Reference Series)
By Brand: Butterworth-Heinemann
In Stock
$410.00
$222.41
You Save: 46%

ean: 9780750646772, isbn: 0750646772,

4.5 out of 5 stars with 57 reviews
Bond and Money Markets: Strategy, Trading, Analysis explains and analyses all aspects of the bond and money markets and is both an introduction for newcomers and an advanced text for experienced market practitioners and graduate students. Those with experience of the industry at all levels will find the book invaluable as a standard reference work. The book features coverage of: Government and Corporate bonds, Eurobonds, callable bonds, convertiblesAsset-backed bonds including mortgages and


Innovations in Bond Portfolio Management: Immunization and Duration Analysis (Contemporary Studies in Economic and Financial Analysis) (Contemporary Studies in Economic & Financial Analysis)
Innovations in Bond Portfolio Management: Immunization and Duration Analysis (Contemporary Studies in Economic and Financial Analysis) (Contemporary Studies in Economic & Financial Analysis)
By Brand: Emerald Group Publishing Limited
In Stock
$128.99
$88.07
You Save: 32%

ean: 9780892323203, isbn: 0892323205,

4.2 out of 5 stars with 16 reviews
Contemporary Studies in Economic and Financial Analysis provides further insights to postcrisis developments in the global economic and financial environment. Our hope is that the assembled papers will offer clear insights into the complex financial arrangements that now link emerging and developed financial markets in the current economic environment, outlining a multidisciplinary research agenda for the field.Used Book in Good Condition.


The Handbook of Mortgage Backed Securities
The Handbook of Mortgage Backed Securities
By Brand: Probus Professional Pub
In Stock
$85.00
$59.88
You Save: 30%

ean: 9781557385765, isbn: 1557385769,

4.8 out of 5 stars with 23 reviews
A classic of investment literature, The Handbook of Mortgage-Backed Securities provides unparalleled coverage of every aspect of the mortgage-backed securities market. Authoritative and comprehensive, the book explains both the fundamentals and investment characteristics of mortgage-backed securities, as well as state-of-the-art strategies for capitalizing on opportunities. The fourth edition of The Handbook is very much a new book. It fully reflects the most recent developments in the market


Bond Portfolio Optimization (Lecture Notes in Economics and Mathematical Systems)
Bond Portfolio Optimization (Lecture Notes in Economics and Mathematical Systems)
By Brand: Springer
In Stock
$149.00
$104.74
You Save: 30%

mpn: 36 black & white tables, biography, ean: 9783540765929, isbn: 3540765921,

4.2 out of 5 stars with 24 reviews
The book analyzes how modern portfolio theory and dynamic term structure models can be applied to government bond portfolio optimization problems. The author studies the necessary adjustments, examines the models with regard to the plausibility of their results and compares the outcomes to portfolio selection techniques used by practitioners. Both single-period and continuous-time bond portfolio optimization problems are considered.Used Book in Good Condition.


Bond Math: The Theory Behind the Formulas (Wiley Finance)
Bond Math: The Theory Behind the Formulas (Wiley Finance)
By Wiley Finance
In Stock
$679.01

ean: 9781576603062, isbn: 1576603067,

4.2 out of 5 stars with 193 reviews
A guide to the theory behind bond math formulas Bond Math explores the ideas and assumptions behind commonly used statistics on risk and return for individual bonds and on fixed income portfolios. But this book is much more than a series of formulas and calculations; the emphasis is on how to think about and use bond math. Author Donald J. Smith, a professor at Boston University and an experienced executive trainer, covers in detail money market rates, periodicity conversions, bond yields to


Inside the US Treasury Market
Inside the US Treasury Market
By Brand: Praeger
In Stock
$84.00
$79.51
You Save: 5%

ean: 9780899304922, isbn: 0899304923,

4.3 out of 5 stars with 42 reviews
A comprehensive and practical guide to the United States Treasury bond market, this timely book offers a detailed introduction to the workings of the largest government debt market in the world and the investment opportunities it provides.Wann begins by outlining the history and development of the market, explaining how it operates and examining the parts played by dealers, investors, and the U.S. government authorities. The U.S. Treasury market is compared with the UK gilts market and its


After the Trade: Dealer and Clearing Bank Operations in Money Market and Government Securites
After the Trade: Dealer and Clearing Bank Operations in Money Market and Government Securites
By Irwin Professional Pub
In Stock
$57.50

ean: 9780870949371, isbn: 0870949373,

4.6 out of 5 stars with 109 reviews
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Beating the Indexes: Investing in Convertible Bonds to Improve Performance and Reduce Risk (Minyanville Media)
Beating the Indexes: Investing in Convertible Bonds to Improve Performance and Reduce Risk (Minyanville Media)
By FT Press
In Stock
$4,808.32

mpn: Illustrations, ean: 9780132885942, isbn: 0132885948,

4.6 out of 5 stars with 178 reviews
You can beat the market by avoiding risk-averse, career-protecting investment managers and index-based strategies that are perfectly satisfied with mediocrity. Fact is, as indexing and quasi-indexing have become more prevalent, the dangers of these strategies have become more pronounced: a bias toward overvalued, overgrown, large-cap stocks likely to hit long periods of underperformance. But there’s good news: If you’re willing to invest a bit more of your own time, you have a much better


Active Fixed Income and Credit Management
Active Fixed Income and Credit Management
By Frank Hagenstein
In Stock
$315.00

ean: 9780333993682, isbn: 0333993683,

4.6 out of 5 stars with 202 reviews
The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail


Interest-Rate Option Models: Understanding, Analysing and Using Models for Exotic Interest-Rate Options (Wiley Series in Financial Engineering)
Interest-Rate Option Models: Understanding, Analysing and Using Models for Exotic Interest-Rate Options (Wiley Series in Financial Engineering)
By Wiley
In Stock
$693.21

ean: 9780471979586, isbn: 0471979589,

4.6 out of 5 stars with 140 reviews
The modelling of exotic interest-rate options is such an important and fast-moving area, that the updating of the extremely successful first edition has been eagerly awaited. This edition re-focuses the assessment of various models presented in the first edition, in light of the new developments of modelling imperfect correlation between financial quantities. It also presents a substantial new chapter devoted to this revolutionary modelling method. In this second edition, readers will also find


The Junk Bond Revolution: Michael Milken, Wall Street and the ''Roaring Eighties''
The Junk Bond Revolution: Michael Milken, Wall Street and the "Roaring Eighties"
By Fourth Estate Classic House
SKU: #VIB1872180531
In Stock
$79.95

sku: VIB1872180531, ean: 9781872180533, isbn: 1872180531,

4.0 out of 5 stars with 297 reviews
This is a tale of greed, skulduggery and conspiracy in high places during the ''roaring eighties'', when Wall Street was shaken from top to bottom by the radical methods of Michael Milken's Junk Bond Revolution. This book argues that, although the junk bond was undoubtedly exploited by cynical and greedy operators, Milken himself was a man with a genuine vision of how the capitalist system could benefit ordinary Americans, and that he was the victim of a conspiracy engineered by corporate and


A Guide to Asian High Yield Bonds: Financing Growth Enterprises, + Website
A Guide to Asian High Yield Bonds: Financing Growth Enterprises, + Website
By Wiley
In Stock
$228.46

ean: 9781118502020, isbn: 1118502027,

4.7 out of 5 stars with 102 reviews
An up-to-date, comprehensive analysis of the high-yield bond market in Asia Beginning with a general definition of high-yield bond products and where they reside within the corporate capital structure, this newly updated guide looks at the development of high-yield bonds in the United States and Europe before analysing this sector in Asia. It covers issuer countries and industries, ratings, and size distributions, and also covers the diversification of the high-yield issuer universe. It


Bond Evaluation, Selection and Management
Bond Evaluation, Selection and Management
By John Wiley & Sons
In Stock
$125.00
$61.01
You Save: 51%

ean: 9780470478356, isbn: 0470478357,

4.5 out of 5 stars with 31 reviews
A fully revised guide to fixed income securities that reflects current market conditions The Second Edition of Bond Evaluation, Selection, and Management combines fundamental and advanced topics in the field, offering comprehensive coverage of bond and debt management. This fully updated and revised edition provides you with the basics needed to understand various strategies, and explanations of cutting edge advanced topics. Focusing on essential concepts, models, and numerical examples, this


Analysing and Interpreting the Yield Curve
Analysing and Interpreting the Yield Curve
By Moorad Choudhry
In Stock
$160.00
$110.96
You Save: 31%

ean: 9780470821251, isbn: 0470821256,

4.7 out of 5 stars with 39 reviews
The yield curve is the defining indicator of the global debt capital markets, and an understanding of it is vital to the smooth running of the economy as a whole. All participants in the market, be they issuers of capital, investors or banking intermediaries, will have a need to estimate, interpret and understand the yield curve. Fund managers that accurately predict the shape and direction of the curve will consistently outperform those that do not. This groundbreaking new book offers: An


Infrastructure Project Finance and Project Bonds in Europe
Infrastructure Project Finance and Project Bonds in Europe
By E Rossi R Stepic Mahvash Alerassool
In Stock
$67.50

ean: 9781349506668, isbn: 1349506664,

4.5 out of 5 stars with 162 reviews
Project sponsors in Europe are facing more and more difficulty when acquiring conventional long-term bank loans for infrastructure projects. The regulatory landscape for debt markets will evolve further with implementation of Basel III requirements. Recently, the Asset Quality Review under the European Central Bank's Comprehensive Assessment process, and related pressures on banks' balance sheets, have constrained bank long-term lending. This has led to much discussion on non-conventional bank


Ron's Road to Wealth: Insights for the Curious Investor
Ron's Road to Wealth: Insights for the Curious Investor
By Wiley
SKU: #466310
In Stock
$57.88

sku: 466310, ean: 9780470137529, isbn: 0470137525,

4.8 out of 5 stars with 35 reviews
Praise for Ron's Road to Wealth ''Long-term investors will learn much from Ron Muhlenkamp's thoughtful reflections on what he has learned about investing over a thirty-year period of successful practice.'' --Milton Friedman ''Ron Muhlenkamp has thought long and hard and successfully about investments for many years. He has learned not to be misled by the distortions that inflation brings to normal returns. He has also learned the important understanding that volatility is not the risk that


Collateralized Mortgage Obligations: A Practical Guide to Cmos for Traders & Investors
Collateralized Mortgage Obligations: A Practical Guide to Cmos for Traders & Investors
By Example Product Brand
SKU: #HH-002-06-7579007
In Stock
$122.44

sku: HH-002-06-7579007, ean: 9780070014763, isbn: 0070014760,

4.3 out of 5 stars with 143 reviews
Explains the vocabulary, structures, and risks in collateralized mortgage obligation (CMOs) and offers advice on investing in mortgage derivatives. Sections on basics in mortgage security and prepayment, tools of the trade such as evaluation techniques, and trading opportunities and pitfalls explore all aspects of CMOs, from average lives and payment windows to the characteristics of IO inverse floaters. Includes an alphabetical guide to tranche types and a glossary. Annotation c. by Book News,


The Complete Investment Book: Trading Stocks, Bonds, and Options With Computer Applications
The Complete Investment Book: Trading Stocks, Bonds, and Options With Computer Applications
By Brand: Scott Foresman Trade
In Stock
$59.50

ean: 9780673159526, isbn: 0673159523,

4.5 out of 5 stars with 91 reviews
Shows how to analyze bonds, futures trading, stocks, and options, discusses technical systems, and includes sample computer programsUsed Book in Good Condition.


Managing Credit Risk in Corporate Bond Portfolios: A Practitioner's Guide
Managing Credit Risk in Corporate Bond Portfolios: A Practitioner's Guide
By Wiley
In Stock
$99.95
$73.60
You Save: 26%

ean: 9780471430377, isbn: 0471430374,

4.3 out of 5 stars with 47 reviews
Expert guidance on managing credit risk in bond portfolios Managing Credit Risk in Corporate Bond Portfolios shows readers how to measure and manage the risks of a corporate bond portfolio against its benchmark. This comprehensive guide explores a wide range of topics surrounding credit risk and bond portfolios, including the similarities and differences between corporate and government bond portfolios, yield curve risk, default and credit migration risk, Monte Carlo simulation techniques, and



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