The Sterling Bonds and Fixed Income Handbook: Harriman Finance Essentials
Autor Mark Glowreyen Limba Engleză Paperback – 27 feb 2013
The Sterling Bonds and Fixed Income Handbook aims to fill the knowledge gap for sterling-base investors and their advisors. Whilst investors in the equity markets can rely on numerous resources to select stocks and build portfolios, there is little information available for those who wish to buy bonds. This book takes the reader through the key features of gilts and sterling corporate bonds and offers a practical guide to putting money to work in this important and profitable asset class.
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Specificații
ISBN-13: 9780857190420
ISBN-10: 0857190423
Pagini: 176
Dimensiuni: 156 x 234 x 19 mm
Greutate: 0.5 kg
Editura: HARRIMAN HOUSE LTD
Seria Harriman Finance Essentials
ISBN-10: 0857190423
Pagini: 176
Dimensiuni: 156 x 234 x 19 mm
Greutate: 0.5 kg
Editura: HARRIMAN HOUSE LTD
Seria Harriman Finance Essentials
Cuprins
Acknowledgements
About the Author
Foreword by Dr Stephen Barber
Preface
Introduction
PART I - The Basics
1. What's a bond? Some key concepts
2. Why buy bonds? The risks and rewards of investing in bonds
3. The players in the bond markets
4. The life cycle of a bond
5. What happens if interest rates move?
6. Credit quality and ratings
PART II - Bond Markets
7. Gilts
8. Index-linked gilts
9. Domestic and Eurosterling corporate bonds
10. Zeros, FRNs, convertibles and others
11. Other types of bonds
12. Overseas and foreign currency bonds
13. A walk on the wild side - distressed and illiquid debt
14. Bond funds
PART III - Practical Matters
15. Dealing, custody and other mechanics
16. Building a bond portfolio
17. Trading the fixed income markets
18. Trading with technical analysis
19. Tax
The Six Golden Rules of Bond Investing
Appendices
1. Sample bond prospectus and notes
2. Bond maths
3. Resources for investors
4. Brokers
5. RPI/CPI table
6. Gilt Edged Market Makers
7. GBP corporate bond prices and yields
8. Glossary
Index
About the Author
Foreword by Dr Stephen Barber
Preface
Introduction
PART I - The Basics
1. What's a bond? Some key concepts
2. Why buy bonds? The risks and rewards of investing in bonds
3. The players in the bond markets
4. The life cycle of a bond
5. What happens if interest rates move?
6. Credit quality and ratings
PART II - Bond Markets
7. Gilts
8. Index-linked gilts
9. Domestic and Eurosterling corporate bonds
10. Zeros, FRNs, convertibles and others
11. Other types of bonds
12. Overseas and foreign currency bonds
13. A walk on the wild side - distressed and illiquid debt
14. Bond funds
PART III - Practical Matters
15. Dealing, custody and other mechanics
16. Building a bond portfolio
17. Trading the fixed income markets
18. Trading with technical analysis
19. Tax
The Six Golden Rules of Bond Investing
Appendices
1. Sample bond prospectus and notes
2. Bond maths
3. Resources for investors
4. Brokers
5. RPI/CPI table
6. Gilt Edged Market Makers
7. GBP corporate bond prices and yields
8. Glossary
Index
Notă biografică
Mark Glowrey is a director of Stockcube Research Limited, a leading independent analysis company. Mark has over twenty years experience of trading securities and advising institutional customers, starting his career as a trader on the floor of the London Stock Exchange in the early 1980s before moving on to spend over a decade specialising in fixed income securities and treasury products. In 2005, he launched the www.fixedincomeinvestor.co.uk website, a resource for private investors in the sterling fixed income market. Mark also contributes to many well-known investment websites and publications including Investors Chronicle. In his spare time, he can generally be found on the water, up a hill or occasionally under a paraglider.
Descriere
"Sterling Fixed Income for the Private Investor" aims to fill the knowledge gap for sterling-base investors and their advisors. The book takes the reader through the key features of gilts and sterling corporate bonds and offers a practical guide to putting money to work in this important and profitable asset class.