03261nam 22006255 450 991025505030332120200630145929.03-319-48541-510.1007/978-3-319-48541-6(CKB)4100000000881670(DE-He213)978-3-319-48541-6(MiAaPQ)EBC5589204(EXLCZ)99410000000088167020171016d2017 u| 0engurnn|008mamaatxtrdacontentcrdamediacrrdacarrierFixed Income Analytics Bonds in High and Low Interest Rate Environments /by Wolfgang Marty1st ed. 2017.Cham :Springer International Publishing :Imprint: Springer,2017.1 online resource (XVII, 204 p. 79 illus., 7 illus. in color.) 3-319-48540-7 Introduction -- The Time Value of Money -- The Flat Yield Curve Concept -- The Term Structure of Interest Rate -- Spread Analysis -- Different  Fixed Income Instruments -- Fixed Income Benchmarks -- Convertible -- Appendix. .This book analyses and discusses bonds and bond portfolios. Different yields and duration measures are investigated. The transition from a single bond to a bond portfolio leads to the equation for the internal rate of return. Its solution is analyzed and compared to different approaches proposed in the financial industry. The impact of different yield scenarios on a model bond portfolio is illustrated. Market and credit risk are introduced as independent sources of risk. Different concepts for assessing credit markets are described. Lastly, an overview of the benchmark industry is offered and an introduction to convertible bonds is given. This book is a valuable resource not only for students and researchers but also for professionals in the financial industry. .Capital marketBusiness enterprises—FinanceBanks and bankingRisk managementEconomics, Mathematical Capital Marketshttps://scigraph.springernature.com/ontologies/product-market-codes/616000Business Financehttps://scigraph.springernature.com/ontologies/product-market-codes/512000Bankinghttps://scigraph.springernature.com/ontologies/product-market-codes/626010Risk Managementhttps://scigraph.springernature.com/ontologies/product-market-codes/612040Quantitative Financehttps://scigraph.springernature.com/ontologies/product-market-codes/M13062Capital market.Business enterprises—Finance.Banks and banking.Risk management.Economics, Mathematical .Capital Markets.Business Finance.Banking.Risk Management.Quantitative Finance.658.15Marty Wolfgangauthttp://id.loc.gov/vocabulary/relators/aut913295MiAaPQMiAaPQMiAaPQBOOK9910255050303321Fixed income analytics2045925UNINA