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Finance - Credit & Loans, Derivatives - General & Miscellaneous
Fixed Income Markets Library by Moorad Choudhry β€” book cover

Fixed Income Markets Library

by Moorad Choudhry
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Overview

This a comprehensive, in-depth treatment of the corporate bond markets for investors and bankers. It comprises the following books:

* Corporate Bonds and Structured Financial Products
* Understanding Credit Derivatives
* Advanced Fixed Income Analysis

The library addresses issues of importance for all those involved to any extent with fixed income securities and the corporate bond markets.

* Key areas in Structured Finance Products and Fixed Income Analytics in one handy source
* Written by a practitioner for practitioners
* Your library of practical, professional information at your finger tips

Audience: Investment Managers/Directors, Fixed Income Securities Traders, Financial Analysts in Banks and other financial institutions that have at least one years experience in the finance industry. The level of the books would be "professional" advanced.

Synopsis

This a comprehensive, in-depth treatment of the corporate bond markets for investors and bankers. It comprises the following books:

* Corporate Bonds and Structured Financial Products
* Understanding Credit Derivatives
* Advanced Fixed Income Analysis

The library addresses issues of importance for all those involved to any extent with fixed income securities and the corporate bond markets.

* Key areas in Structured Finance Products and Fixed Income Analytics in one handy source
* Written by a practitioner for practitioners
* Your library of practical, professional information at your finger tips

About the Author, Moorad Choudhry

Moorad Choudhry is Head of Treasury at KBC Financial Products (UK) Limited in London. Previously he worked in structured finance at JPMorgan Chase Bank, and as a sterling bond trader at ABN Amro Hoare Govett Limited and Hambros Bank Limited. Dr Choudhry is a Visiting Professor at the Department of Economics, London Metropolitan University, and a Senior Fellow at the Centre for Mathematical Trading and Finance, CASS Business School. He is also a Fellow of the Securities Institute.

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Book Details

Published
December 1, 2004
Publisher
Elsevier Science
Pages
848
Format
Hardcover
ISBN
9780750662796

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