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The Bond Market : Trading and Risk Management by Кристина И. Рэй; Пер. с англ. [Е.М. Столярова и др.] is a book available to read on EtoBox.
What is The Bond Market : Trading and Risk Management about?
Corporate and federal debt has increased over 350% in the last four years, accompanied by an explosion in the use of complex derivative products. To cope with this new market, fixed income traders - and the tools and techniques they use - have become increasingly sophisticated. There is an urgent need for a high-quality reference book on managing interest rate risk and on the primary and secondary markets for the outstanding bonds worth trillions of dollars. The Bond Market is a thorough guide to the mechanics of the market for U.S. Treasury securities and their derivative products. It explains the art and science of trading bonds for maximum profit with controlled risk, and illustrates how the best traders apply sound theoretical techniques under battlefield conditions. This is a valuable resource for readers with no prior knowledge of the bond market, as well as those who want to enhance their understanding of bond theory with real-life trading tools and techniques. The Bond Market looks at the big picture while focusing on important details. Based on her extensive trading experience, Christina I. Ray covers bond market basics and bond trading strategies, and provides an overview
- Author
- Кристина И. Рэй; Пер. с англ. [Е.М. Столярова и др.]
- Publisher
- Акад. нар. хоз-ва при Правительстве Рос. Федерации; Дело
- Published
- 1999
- Language
- EN
- ISBN
- 9785774900954
- Subjects
- Economics, Finance, Business
Other editions & translations
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