Japanese Fixed Income Markets – Money, Bond and Interest Rate Derivatives
Autor Jonathan Batten, T. A. Fetherston, P.g. Szilagyien Limba Engleză Hardback – 26 sep 2006
These markets are now second only to those in the United States and dominate the issuance market in the Asian Pacific region. The latter does not surprise since Japan is second only to the United States in debt issuance globally and in recent years has had one of the world’s largest government bond and interest rate derivatives markets. However, these relationships are not static and the portfolio flows between Japanese fixed income markets, the Asia Pacific region and the rest of the world. This remains a matter of considerable importance for institutional investors, central banks and governments.
The efforts of the authors who have contributed to this volume will measurably add to our understanding of the Japanese Fixed Income Market. This volume is structured into four parts: Macroeconomic Environmental Development, Credit Risk Measures and Management, Interest Rate Analysis and Market Integration sections. There are seventeen chapters in the volume with thirty-one authors, many of whom are prominent in academic and practitioner aspects of the Fixed Income markets field, contributing their insight to this volume.
*A four part volume that adds to the understanding of the Japanese Fixed Income Market
*17 chapters and 31 authors ensure a wide range of expertise and insight
*Focus is placed on macroeconomic environmental developments, credit risk measures and management, interest rate analysis and market integration
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Specificații
ISBN-13: 9780444520203
ISBN-10: 0444520201
Pagini: 460
Dimensiuni: 155 x 234 x 25 mm
Greutate: 0.84 kg
Editura: Emerald Publishing
ISBN-10: 0444520201
Pagini: 460
Dimensiuni: 155 x 234 x 25 mm
Greutate: 0.84 kg
Editura: Emerald Publishing
Public țintă
business and economics researchers, advanced graduate students, finance researchers, money and monetary policy researchersCuprins
PART I - Macroeconomic Environmental Developments
PART II - Credit Risk Measures and Management
PART III - Market Integration
PART II - Credit Risk Measures and Management
PART III - Market Integration