Fixed Income Analytics

fixed income analytics

more information about Fixed Income Analytics

Fixed Income Analytics

Editorial Reviews
Book Description
Fixed Income Analytics brings together twenty influential papers written by Kenneth Garbade with members of the Cross Markets Research Group of Bankers Trust Company between 1983 and 1990. Written by and for practitioners in the U.S. Treasury securities markets, it is one of the few, if not only, books on fixed income analysis that focuses on applicable techniques while remaining analytically rigorous.

Divided into four parts, Fixed Income Analytics presents quantitative methodologies for the analysis of fixed income securities, such as U.S. Treasury bills, notes, bonds, and STRIPS that have no credit risk. Examined in part I are basic concepts of bond yield and bond duration; in part II, yield curves and the problem of assessing relative value; in part III, topics in fixed income portfolio management associated with change in the shape of the yield curve -- yield curve trades, butterfly trades, and hedging -- and in part IV, the characteristics and consequences of fluctuations in the shape of the yield curve.

About the Author
Kenneth D. Garbade is a Vice President of the Federal Reserve Bank of New York.

Fixed Income Analytics,Kenneth D. Garbade,The MIT Press,0262071762,Business & Economics,Business / Economics / Finance,Business/Economics,Economics - General,Finance,Fixed-income securities,Investments & Securities - General,Securities,Business & Economics / Finance

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