Fixed Income Investing: A Classic in a Time of Increased Uncertainty

Fixed Income Investing: A Classic in a Time of Increased Uncertainty

by Thomas Poufinas
Fixed Income Investing: A Classic in a Time of Increased Uncertainty

Fixed Income Investing: A Classic in a Time of Increased Uncertainty

by Thomas Poufinas

eBook1st ed. 2022 (1st ed. 2022)

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Overview

Fixed income investments have been a topic of broad interest, in particular for institutional investors such as insurance companies and pensions schemes. They were considered safe heavens in turbulent times by almost all other institutional and individual investors and are used for strategies such as portfolio immunization and asset liability matching (ALM). The latest crisis, however, revealed some of the weaknesses of fixed income instruments. They proved to be not as safe as originally thought with both credit and interest rate risks emerging. Consequently, fixed income investments have been in the spotlight once more.

This book presents all aspects pertaining to fixed income investments, starting from the basics—i.e. the types of bonds, their valuation, the interest rate term structure—then moving to fixed income portfolio management and the interest rate and credit derivatives and their relevant markets, funds, risks and risk management. Finally, the book addresses contemporary issues such as their behavior in times of crisis, their relation to debt, their coexistence with equity and the current regulatory environment. This book, providing a look at the broader environment of fixed income alongside the current market structure, will be of interest to students, academics, researchers and practitioners in fixed income and investing strategies.​


Product Details

ISBN-13: 9783030879228
Publisher: Palgrave Macmillan
Publication date: 03/28/2022
Sold by: Barnes & Noble
Format: eBook
File size: 30 MB
Note: This product may take a few minutes to download.

About the Author

Thomas Poufinas is Assistant Professor in the Department of Economics of the Democritus University of Thrace. He holds a Ph.D. in Financial Mathematics from the Ohio State University and a Bachelor’s Degree in Mathematics from the University of Athens. His research focuses on finance, investments, risk management and actuarial science.

Table of Contents

1. Introduction.- 2. Bonds.- 3. Term Structure.- 4. Fixed Income Portfolio Management.- 5. Interest Rate Derivatives.- 6. Credit Derivatives.- 7. Bond Markets.- 8. Bond Funds.- 9.  Risks and Risk Management.- 10. Bonds and Crises.- 11. Bonds and Debt.- 12. Bonds vs. Stocks.- 13. Hedging, Speculation and Arbitrage.- 14. Bonds and Regulation.​

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