Readings Newsletter
Become a Readings Member to make your shopping experience even easier.
Sign in or sign up for free!
You’re not far away from qualifying for FREE standard shipping within Australia
You’ve qualified for FREE standard shipping within Australia
The cart is loading…
Written for the professional money manager, the corporate treasurer, the financial planner and consultant, as well as the serious private investor, this book illustrates the dynamics of contemporary financial markets with thorough coverage of such topics as recent developments in money and capital markets, selected debt and equity market relationships and concepts, swaps, the bond rating process, adjustable rate mortgages, the inderpinnings of basic valuation theory, interest rate spreads and differentials, basic bond portfolio strategies, duration and immunization, high yielding junk bonds, pass-through securities, and insured tax-free bonds. Chapters on the mortgage market and foreign exchange markets were contributed by Jerry Belloit of the University of North Florida and John B. Guerard of Lehigh University respectively. New technologies, the entry of new players into the financial services industry, interest rate and energy price swings, and severe inflation followed by modest price increases, among other influences, have heightened uncertainty in financial services markets. This book provides an important aid to those who wish to minimize that uncertainty and reap the rewards of successful investment strategies.
$9.00 standard shipping within Australia
FREE standard shipping within Australia for orders over $100.00
Express & International shipping calculated at checkout
Written for the professional money manager, the corporate treasurer, the financial planner and consultant, as well as the serious private investor, this book illustrates the dynamics of contemporary financial markets with thorough coverage of such topics as recent developments in money and capital markets, selected debt and equity market relationships and concepts, swaps, the bond rating process, adjustable rate mortgages, the inderpinnings of basic valuation theory, interest rate spreads and differentials, basic bond portfolio strategies, duration and immunization, high yielding junk bonds, pass-through securities, and insured tax-free bonds. Chapters on the mortgage market and foreign exchange markets were contributed by Jerry Belloit of the University of North Florida and John B. Guerard of Lehigh University respectively. New technologies, the entry of new players into the financial services industry, interest rate and energy price swings, and severe inflation followed by modest price increases, among other influences, have heightened uncertainty in financial services markets. This book provides an important aid to those who wish to minimize that uncertainty and reap the rewards of successful investment strategies.