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Capital markets : institutions, instruments, and risk management / Frank J. Fabozzi.

By: Fabozzi, Frank J.
Cambridge, Massachusetts : The MIT Press, ©2015Edition: Fifth edition.Description: xxxiv, 1049 pages : illustrations ; 24 cm.Content type: text ISBN: 9780262029483 (hardcover : alk. paper).Subject(s): Capital marketDDC classification: 332.0414/F11 Other classification: CBA
Contents:
Financial assets and financial markets -- Overview of risks and risk management -- Overview of market participants -- Depository institutions -- Insurance companies and defined benefit pension plans -- Managers of collective investment vehicles -- Investment banking firms -- Primary and secondary markets -- Introduction to linear payoff derivatives : futures, forwards, and swaps -- Introduction to nonlinear payoff derivatives : options, credit default swaps, caps, and floors -- Securitization and its role in financial markets -- Return distributions and risk measures -- Portfolio selection theory -- Asset pricing theories -- The theory and structure of interest rates -- Valuation of debt contracts and their price volatility characteristics -- The term structure of interest rates -- The structure of the common stock market -- Common stock strategies and trading arrangements -- The money market for private debt instruments -- Treasury and agency securities markets -- Municipal securities markets -- Corporate senior instruments markets -- International bond markets -- The residential mortgage market -- The market for U.S. agency residential mortgage-backed securities -- The market for credit-sensitive securitized products -- The market for equity derivatives -- The market for interest rate risk transfer vehicles : exchange-traded products -- The market for interest rate risk transfer vehicles : OTC instruments -- The market for credit risk transfer vehicles : credit derivatives and collateralized debt obligations -- The market for foreign exchange and risk control instruments.
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Includes index.

Financial assets and financial markets -- Overview of risks and risk management -- Overview of market participants -- Depository institutions -- Insurance companies and defined benefit pension plans -- Managers of collective investment vehicles -- Investment banking firms -- Primary and secondary markets -- Introduction to linear payoff derivatives : futures, forwards, and swaps -- Introduction to nonlinear payoff derivatives : options, credit default swaps, caps, and floors -- Securitization and its role in financial markets -- Return distributions and risk measures -- Portfolio selection theory -- Asset pricing theories -- The theory and structure of interest rates -- Valuation of debt contracts and their price volatility characteristics -- The term structure of interest rates -- The structure of the common stock market -- Common stock strategies and trading arrangements -- The money market for private debt instruments -- Treasury and agency securities markets -- Municipal securities markets -- Corporate senior instruments markets -- International bond markets -- The residential mortgage market -- The market for U.S. agency residential mortgage-backed securities -- The market for credit-sensitive securitized products -- The market for equity derivatives -- The market for interest rate risk transfer vehicles : exchange-traded products -- The market for interest rate risk transfer vehicles : OTC instruments -- The market for credit risk transfer vehicles : credit derivatives and collateralized debt obligations -- The market for foreign exchange and risk control instruments.

College of Business and Accountancy

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