An Introduction to Bond Markets (Securities Institute) [Paperback]


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Introduction to Bond Markets supplies a comprehensive, authoritative description with the bond markets. The contents describe and define bonds inside context with the capital markets and the different types of bonds which are traded. The Fourth Edition has been completely updated to reflect the countless changes inside the industry as being a result with the financial crisis. In addition, four new chapters feature the causes from the financial crisis and the implications for bond investors, risk, return and diversification, securitization, and credit derivatives. Ideal for traders, fund managers, and students inside the field.

The bond markets certainly are a vital part from the world economy. The fourth edition of Professor Moorad Choudhry′s benchmark reference text An Introduction to Bond Markets brings readers up to date with latest developments and market practice, like the impact of the financial crisis and issues of relevance for investors. This book provides a detailed yet accessible take a look at bond instruments, and is also aimed specifically at newcomers towards the market or those unfamiliar with modern fixed income products. The author capitalises on his wealth of experience inside fixed income markets presenting this concise yet in–depth coverage of bonds and associated derivatives.
Topics covered include:

Bond pricing and yield
Duration and convexity
Eurobonds and convertible bonds
Structured finance securities
Interest–rate derivatives
Credit derivatives
Relative value trading
Related topics such as the amount of money markets and principles of risk management may also be introduced as necessary background for students and practitioners. The book is vital reading for all those those who require an introduction for the financial markets.