Demystifying Fixed Income Analytics

A Practical Guide
Artikelnummer: 978-0-367-67442-7
Einband: Buch
Verfügbarkeit: Lieferbar in ca. 10-20 Arbeitstagen
CHF 196.00
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VerlagTaylor and Francis
EinbandBuch
Erscheinungsjahr2020
Seitenangabe459 S.
AusgabekennzeichenEnglisch
CoverlagRoutledge (Imprint/Brand)
AutorKedar Nath Mukherjee

Über den Autor Kedar Nath Mukherjee

Kedar Nath Mukherjee is Assistant Professor at National Institute of Bank Management, Pune, Maharashtra, India. He has extensive experience in providing training to senior and middle-level executives in treasury and risk management departments of commercial, investment, and cooperative banks, primary dealers, insurance companies, pension funds, public sector undertakings, corporate treasuries, etc., on the topics of fixed income securities, bond portfolio management, investment management, risk management, and financial derivatives. Besides professional training, he also teaches courses in PGDM programmes and undertakes consultancy activities. He has published research papers in various journals, and the monograph Fixed Income Securities: Valuation, Risk and Risk Management.

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