Bunds and Bund Futures

Bunds and Bund Futures
Author: Daniel Corrigan,Mark Pohlmann
Publsiher: Springer
Total Pages: 123
Release: 2016-01-06
Genre: Business & Economics
ISBN: 9781349128389

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The German bond market is one of the world's most liquid and diversified capital markets. As the world's debt and derivative products become more closely linked, investors and traders are increasingly more interested in the security offered by German government debt, as well as the profitable opportunities.

Bunds and Bund Futures

Bunds and Bund Futures
Author: Daniel Corrigan,Mark Pohlmann
Publsiher: Unknown
Total Pages: 113
Release: 1991-01-01
Genre: Futures market
ISBN: 1561590339

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Bund Options

Bund Options
Author: Robert Tompkins
Publsiher: Springer
Total Pages: 257
Release: 2016-07-27
Genre: Business & Economics
ISBN: 9781349128006

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In 1989 and 1990 the German capital markets reached a milestone as regulations were clarified regarding the use of derivative products for German institutional and private clients. This book analyzes this market and explains its current interest to investors.

Active Fixed Income and Credit Management

Active Fixed Income and Credit Management
Author: F. Hagenstein,Tim Bangemann
Publsiher: Springer
Total Pages: 247
Release: 2002-04-15
Genre: Business & Economics
ISBN: 9780230510494

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The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail using a top-down and bottom-up approach. Several examples are presented to show the practical relevance of the theoretical models and approach.

Electronic Versus Open Outcry Markets

Electronic Versus Open Outcry Markets
Author: Francis J. Breedon,Allison Holland
Publsiher: Unknown
Total Pages: 34
Release: 1997
Genre: Banks and banking
ISBN: OCLC:246328221

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Perspectives on International Fixed Income Investing

Perspectives on International Fixed Income Investing
Author: Frank J. Fabozzi, CFA
Publsiher: John Wiley & Sons
Total Pages: 300
Release: 1998-02-15
Genre: Business & Economics
ISBN: 1883249317

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U.S. investors are pouring billions of dollars into the international fixed income markets. In Perspectives on International Fixed Income Investing, an international cast of experts discusses proven strategies for investing successfully in these challenging markets. Topics addressed include assessing credit risk, managing currency volatility, understanding local markets, and maximizing yields.

Fixed Income Relative Value Analysis website

Fixed Income Relative Value Analysis    website
Author: Doug Huggins,Christian Schaller
Publsiher: John Wiley & Sons
Total Pages: 440
Release: 2024-05-13
Genre: Business & Economics
ISBN: 9781394189083

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An invaluable guide for fixed income practitioners, fully updated to incorporate the shift from LIBOR to SOFR Since its first edition in 2013, Fixed Income Relative Value Analysis: A Practitioner’s Guide to the Theory, Tools, and Trades has become the gold standard for guides linking financial theories with practical analysis tools. The newly revised second edition reflects both the progress in statistical tools over the last decade and the impact of the transition to SOFR on swap spreads. You’ll find a set of statistical and financial tools, a multitude of actual trades resulting from the application of these tools, as well as access to a companion website featuring spreadsheets illustrating some of the models contained in the book. This book covers: Statistical models for quantitative market analysis, in particular mean reversion models and principal component analysis, now including the multivariate Ornstein-Uhlenbeck model. An in-depth approach to understanding swap spreads in theory and practice. A comprehensive discussion of the various basis swaps and their combinations. The incorporation of credit default swaps in yield curve analysis. A classification of option trades into three types and the appropriate analysis tools. Fitted curve techniques for identifying relative value among different bonds. A multi-factor delivery option model for bond future contracts. Fixed Income Relative Value Analysis has proven to be an indispensable desk reference for buy- and sell-side fixed income professionals, including traders, quantitative analysts, portfolio managers, financial engineers, fixed income salespeople with sophisticated clientele and risk managers.

International Securities Lending

International Securities Lending
Author: Judy Mabry
Publsiher: Springer
Total Pages: 159
Release: 1992-08-11
Genre: Business & Economics
ISBN: 9781349125883

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As we enter the early 1990s, the second phase of global deregulation gains momentum and cross-border activity in the securities markets has never been greater. Securitised funds are crossing borders at the rate of $12 trn per annum. As pressure on margins increases, there is a new emphasis on trading and settlement systems - as important as the innovation of financial products was in the 1980s.