Introduction to Structured Finance
Frank J. (School of Management, Yale University) Fabozzi
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Add to BasketLeveraged Finance : Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives
Stephen J. Antczak
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Add to BasketProbability and Statistics for Finance
Svetlozar T. (University of California, Santa Barbara) Rachev
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Add to BasketFat-Tailed and Skewed Asset Return Distributions : Implications for Risk Management, Portfolio Selection, and Option Pricing
Svetlozar T. (University of California, Santa Barbara) Rachev
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Add to BasketDuration, Convexity, and Other Bond Risk Measures
Frank J. Fabozzi
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Add to BasketStructured Products and Related Credit Derivatives : A Comprehensive Guide for Investors
Brian P. Lancaster
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Add to BasketIntroduction to Fixed Income Analytics : Relative Value Analysis, Risk Measures and Valuation
Frank J. (School of Management, Yale University) Fabozzi
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Add to BasketCorporate Bonds : Structure and Analysis
Richard C. Wilson
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Add to BasketValuation of Fixed Income Securities and Derivatives
Frank J. Fabozzi
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Add to BasketEquity Portfolio Management
Frank J. Fabozzi
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Add to BasketIssuer Perspectives on Securitization
Frank J. Fabozzi
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Add to BasketFloating-Rate Securities
Frank J. Fabozzi
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Add to BasketValuation of Interest Rate Swaps and Swaptions
Gerald W. Buetow
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Financial Models with Levy Processes and Volatility Clustering
Svetlozar T. (University of California, Santa Barbara) Rachev
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Add to BasketThe Handbook of Traditional and Alternative Investment Vehicles : Investment Characteristics and Strategies
Mark J. P. Anson
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Add to BasketEquity Valuation and Portfolio Management
Frank J. (School of Management, Yale University) Fabozzi
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Add to BasketManaging a Corporate Bond Portfolio
Leland E. Crabbe
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Add to BasketBayesian Methods in Finance
Svetlozar T. (University of California, Santa Barbara) Rachev
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Add to BasketMortgage-Backed Securities : Products, Structuring, and Analytical Techniques
Frank J. (School of Management, Yale University) Fabozzi
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£79.00
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Add to BasketAdvanced Stochastic Models, Risk Assessment, and Portfolio Optimization : The Ideal Risk, Uncertainty, and Performance Measures
Svetlozar T. (University of California, Santa Barbara) Rachev
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