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Fixed Income Analysis Workbook (4th Ed.) CFA Institute Investment Series

Langue : Anglais

Auteur :

Couverture de l’ouvrage Fixed Income Analysis Workbook

THE THOROUGHLY REVISED AND UPDATED FOURTH EDITION OF THE COMPANION WORKBOOK TO FIXED INCOME ANALYSIS

Now in its fourth edition, the Fixed Income Analysis Workbook offers a range of practical information and exercises that will enhance your understanding of the tools, strategies, and techniques associated with fixed-income portfolio management. Written by a team of knowledgeable contributors, this hands-on resource helps busy professionals and those new to the discipline apply the concepts and methodologies that are essential for mastery.

The Workbook is an accessible guide for understanding the metrics, methods, and mechanics as applied in the competitive world of fixed-income analysis. It also provides a stress-free way to practice the tools and techniques described in the companion text. The Fixed Income Analysis Workbook includes information and exercises to help you:

  • Work real-world problems associated with fixed-income risk and return
  • Review the fundamentals of asset-backed securities
  • Comprehend the principles of credit analysis
  • Understand the arbitrage-free valuation framework
  • Practice important methods and techniques before applying them in actual situations

The fourth edition provides updated coverage of fixed income portfolio management including detailed applications of liability-driven and index-based strategies, exposure to the major types of yield curve strategies, and practical approaches to implementing active credit strategies.

For anyone who wants a more solid understanding of fixed-income portfolio management, the Fixed Income Analysis Workbook is a comprehensive and practical resource.

Part I Learning Objectives, Summary Overview, and Problems

Chapter 1 Fixed-Income Securities: Defining Elements 3

Learning Outcomes 3

Summary Overview 3

Problems 5

Chapter 2 Fixed-Income Markets: Issuance, Trading, and Funding 9

Learning Outcomes 9

Summary Overview 9

Problems 11

Chapter 3 Introduction to Fixed-Income Valuation 15

Learning Outcomes 15

Summary Overview 15

Problems 18

Chapter 4 Introduction to Asset-Backed Securities 27

Learning Outcomes 27

Summary Overview 27

Problems 30

Chapter 5 Understanding Fixed Income Risk and Return 35

Learning Outcomes 35

Summary Overview 36

Problems 39

Chapter 6 Fundamentals of Credit Analysis 43

Learning Outcomes 43

Summary Overview 43

Problems 47

Chapter 7 The Term Structure and Interest Rate Dynamics 55

Learning Outcomes 55

Summary Overview 56

Problems 56

Chapter 8 The Arbitrage-Free Valuation Framework 67

Learning Outcomes 67

Summary Overview 67

Problems 68

Chapter 9 Valuation and Analysis of Bonds with Embedded Options 77

Learning Outcomes 77

Summary Overview 78

Problems 80

Chapter 10 Credit Analysis Models 91

Learning Outcomes 91

Summary Overview 91

Problems 92

Chapter 11 Credit Default Swaps 101

Learning Outcomes 101

Summary Overview 101

Problems 102

Chapter 12 Overview of Fixed-Income Portfolio Management 107

Learning Outcomes 107

Summary Overview 107

Problems 108

Chapter 13 Liability-Driven and Index-Based Strategies 115

Learning Outcomes 115

Summary Overview 115

Problems 119

Chapter 14 Yield Curve Strategies 129

Learning Outcomes 129

Summary Overview 129

Problems 132

Chapter 15 Fixed-Income Active Management: Credit Strategies 145

Learning Outcomes 145

Summary Overview 145

Problems 147

Part II Solutions

Chapter 1 Fixed-Income Securities: Defining Elements 155

Solutions 155

Chapter 2 Fixed-Income Markets: Issuance, Trading, and Funding 159

Solutions 159

Chapter 3 Introduction to Fixed-Income Valuation 163

Solutions 163

Chapter 4 Introduction to Asset-Backed Securities 177

Solutions 177

Chapter 5 Understanding Fixed Income Risk and Return 183

Solutions 183

Chapter 6 Fundamentals of Credit Analysis 189

Solutions 189

Chapter 7 The Term Structure and Interest Rate Dynamics 195

Solutions 195

Chapter 8 The Arbitrage-Free Valuation Framework 203

Solutions 203

Chapter 9 Valuation and Analysis of Bonds with Embedded Options 209

Solutions 209

Chapter 10 Credit Analysis Models 217

Solutions 217

Chapter 11 Credit Default Swaps 231

Solutions 231

Chapter 12 Overview of Fixed-Income Portfolio Management 235

Solutions 235

Chapter 13 Liability-Driven and Index-Based Strategies 239

Solutions 239

Chapter 14 Yield Curve Strategies 245

Solutions 245

Chapter 15 Fixed-Income Active Management: Credit Strategies 257

Solutions 257

About the CFA Program 259

Date de parution :

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17.3x24.9 cm

Disponible chez l'éditeur (délai d'approvisionnement : 12 jours).

Prix indicatif 53,09 €

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