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MARC Record from marc_columbia

Record ID marc_columbia/Columbia-extract-20221130-030.mrc:5630501:3965
Source marc_columbia
Download Link /show-records/marc_columbia/Columbia-extract-20221130-030.mrc:5630501:3965?format=raw

LEADER: 03965cam a2200637 i 4500
001 14566141
005 20220430233137.0
006 m o d
007 cr |n|---|||||
008 190803s2019 enk ob 001 0 eng d
035 $a(OCoLC)on1111483925
035 $a(NNC)14566141
040 $aEBLCP$beng$erda$epn$cEBLCP$dYDX$dOCLCQ$dEBLCP$dN$T$dOCLCF$dOCLCQ$dOH1$dUKAHL$dOCLCO$dOCLCQ$dOCLCO
019 $a1104063211$a1122626978$a1128259621$a1145454554
020 $a0190877456
020 $a9780190877460$q(electronic bk.)
020 $a0190877464$q(electronic bk.)
020 $a9780190877453$q(electronic bk.)
020 $a9780190877446$q(electronic bk.)
020 $a0190877448$q(electronic bk.)
020 $z019087743X
020 $z9780190877439
035 $a(OCoLC)1111483925$z(OCoLC)1104063211$z(OCoLC)1122626978$z(OCoLC)1128259621$z(OCoLC)1145454554
050 4 $aHG4651$b.D44 2019
082 04 $a332.63/23$223
049 $aZCUA
245 00 $aDebt markets and investments /$cedited by H. Kent Baker, Greg Filbeck, and Andrew C. Spieler.
264 1 $aNew York, NY :$bOxford University Press,$c[2019]
264 4 $c©2019
300 $a1 online resource
336 $atext$btxt$2rdacontent
337 $acomputer$bc$2rdamedia
338 $aonline resource$bcr$2rdacarrier
490 1 $aFinancial markets and investments series
588 0 $aPrint version record.
520 $aThis book provides an objective look into the dynamic world of debt markets, products, valuation, and analysis. It also provides an in-depth understanding about this subject from experts in the field, both practitioners and academics. The coverage extends from discussing basic concepts and their application to increasingly intricate and real-world situations. This volume spans the gamut from theoretical to practical, while attempting to offer a useful balance of detailed and user-friendly coverage. The book has several distinguishing features. It blends the contributions of a global array of scholars and practitioners into a single review of some of the most important topics in this area. The book follows an internally consistent approach in format and style. Hence, it is collectively much more than a compilation of chapters from an array of different authors. It presents theory without unnecessary abstraction, quantitative techniques using basic bond mathematics, and conventions at a useful level of detail. It also incorporates how investment professionals analyze and manage fixed income portfolios. The book emphasizes empirical evidence involving debt securities and markets so it is understandable to a wide array of readers. Each chapter contains discussion questions to help reinforce key concepts. The end of the book contains guideline answers to each question. Readers interested in a broad survey will benefit as will those looking for more in-depth presentations of specific areas within this field of study. In summary, the book provides a fresh look at this intriguing and dynamic but often complex subject.
504 $aIncludes bibliographical references and index.
650 0 $aBond market.
650 0 $aBonds.
650 0 $aInvestments.
650 2 $aInvestments
650 6 $aMarché obligataire.
650 6 $aObligations (Valeurs)
650 6 $aInvestissements.
650 7 $abonds (negotiable instruments)$2aat
650 7 $aBond market.$2fast$0(OCoLC)fst00835862
650 7 $aBonds.$2fast$0(OCoLC)fst00835887
650 7 $aInvestments.$2fast$0(OCoLC)fst00978234
655 4 $aElectronic books.
700 1 $aBaker, H. Kent$q(Harold Kent),$d1944-$eeditor.
700 1 $aFilbeck, Greg,$eeditor.
700 1 $aSpieler, Andrew C.,$eeditor.
776 08 $iPrint version:$z9780190877439$w(OCoLC)1089568842
830 0 $aFinancial markets and investments series.
856 40 $uhttp://www.columbia.edu/cgi-bin/cul/resolve?clio14566141$zAll EBSCO eBooks
852 8 $blweb$hEBOOKS