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Handbook of Fixed Income Securities

Handbook of Fixed Income Securities

 

Marketed By :  VDM Verlag Dr. Müller   Sold By :  Kamal Books International  
Delivery in :  10-12 Business Days

 
₹ 3,651

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  • Product Description
 

This book focuses on four components of the process of fixed income portfolio management with reference to government securities: Valuation and Return, Sensitivity, Value at Risk and Validation of VaR estimate. It also explores the problems with valuations on the basis of yield to maturity applying discreet discounting method as is the market practice, performing sensitivity measures by applying the modified duration method with the predicted yield shocks provided by RBI and making risk charges accordingly, calculation of VaR with different methods and back testing and stress testing; and suggests how to overcome those problems and which tools to use in which situation judiciously. Understanding of the text and the CD material would prevent frequency of breaches of risk measures and improve accuracy and speed of computation. This book covered the concepts, tools and techniques of fixed income to the extent they are warranted in daily practice by the officers in treasury and risk management without going into unnecessary academic details. For the above CD contact the author at the email id: [email protected]

Product Specifications
SKU :COC46367
Country of ManufactureIndia
Product BrandVDM Verlag Dr. Müller
Product Packaging InfoBox
In The Box1 Piece
Product First Available On ClickOnCare.com2015-03-08
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