Perspectives on Interest Rate Risk Management for Money Managers and Traders

Perspectives on Interest Rate Risk Management for Money Managers and Traders PDF Author: Frank J. Fabozzi
Publisher: John Wiley & Sons
ISBN: 9781883249298
Category : Business & Economics
Languages : en
Pages : 296

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Book Description
Interest rate volatility can wreak havoc with the balance sheets of institutional investors, traders, and corporations. In this important book, leading experts in the field discuss methods for measuring and hedging interest rate risk. The book covers basic techniques, as well as state-of-the-art applications. Specific topics include portfolio risk management, value-at-risk, yield curve risk, interest rate models, advanced risk measurements, interest rate swaps, and measuring and forecasting interest rate volatility.

Perspectives on Interest Rate Risk Management for Money Managers and Traders

Perspectives on Interest Rate Risk Management for Money Managers and Traders PDF Author: Frank J. Fabozzi
Publisher: John Wiley & Sons
ISBN: 9781883249298
Category : Business & Economics
Languages : en
Pages : 296

Get Book

Book Description
Interest rate volatility can wreak havoc with the balance sheets of institutional investors, traders, and corporations. In this important book, leading experts in the field discuss methods for measuring and hedging interest rate risk. The book covers basic techniques, as well as state-of-the-art applications. Specific topics include portfolio risk management, value-at-risk, yield curve risk, interest rate models, advanced risk measurements, interest rate swaps, and measuring and forecasting interest rate volatility.

Risk Management

Risk Management PDF Author: Sergio M. Focardi
Publisher: John Wiley & Sons
ISBN: 9781883249359
Category : Business & Economics
Languages : en
Pages : 232

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Book Description
Risk management is one of the most critical areas in investment and finance-especially in today's volatile trading environment. With Risk Management: Framework, Methods, and Practice you'll learn about risk management across industries through firsthand, real life war stories rather than mathematical formulas. Concise and readable, it covers both the theoretical underpinnings of risk management, as well as practical techniques for coping with financial market volatility. Focardi and Jonas give you a broad conceptual view of risk management: how far we have progressed, and the problems that remain. Using vivid analogies, this book takes you through key risk measurement issues such as fat tails and extreme events, the pros and cons of VAR, and the different ways of modeling credit risk. This book is a rarity in that it does not presuppose any knowledge of sophisticated mathematical techniques, but rather interprets these in their intuitive sense.

Professional Perspectives on Fixed Income Portfolio Management, Volume 1

Professional Perspectives on Fixed Income Portfolio Management, Volume 1 PDF Author: Frank J. Fabozzi
Publisher: John Wiley & Sons
ISBN: 9781883249779
Category : Business & Economics
Languages : en
Pages : 280

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Book Description
In the turbulent marketplace of the New Economy, portfolio managers must expertly control risk for investors who demand better and better returns even from the safest investments. Finance and investing expert Frank Fabozzi leads a team of experts in the discussion of the key issues of fixed income portfolio management in the latest Perspectives title from his best-selling library. Perspectives on Fixed Income Portfolio Management covers topics on the frontiers of fixed income portfolio management with a focus on risk control, volatility framework for the corporate market, risk management for fixed income asset management, and credit derivatives in portfolio management. Other important topics include: attribution of portfolio performance relative to an index; quantitative analysis of fixed income portfolios; value-at-risk for fixed-income portfolios; methodological trade-offs. The book also provides a variety of illustrations.

Valuation of Interest Rate Swaps and Swaptions

Valuation of Interest Rate Swaps and Swaptions PDF Author: Gerald W. Buetow
Publisher: John Wiley & Sons
ISBN: 9781883249892
Category : Business & Economics
Languages : en
Pages : 258

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Book Description
Among the major innovations in the financial markets have been interest rate swaps and swapations, instruments which entail having an arrangement to barter differently structured payment flows for a particular period of time. These instruments have furnished portfolio and risk managers and corporate treasurers with a better tool for controlling interest rate risk. Valuation of Interest Rate Swaps and Swapations explains how interest rate swaps are valued and the factors that affect their value-an ideal way to manage interest or income payments. Various valuations approaches and models are covered, with special end-of-chapter questions and solutions included.

Investment Management for Insurers

Investment Management for Insurers PDF Author: David F. Babbel
Publisher: John Wiley & Sons
ISBN: 9781883249472
Category : Business & Economics
Languages : en
Pages : 588

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Book Description
Investment Management for Insurers details all phases of the investment management process for insurers as well as fixed income instruments and derivatives and state-of-the-art analytical tools for valuing securities and measuring risk. Complete coverage includes: a general overview of issues, fixed income products, valuation, measuring and controlling interest rate risk, and equity portfolio management.

Perspectives on Equity Indexing

Perspectives on Equity Indexing PDF Author: Frank J. Fabozzi, CFA
Publisher: John Wiley & Sons
ISBN: 9781883249823
Category : Business & Economics
Languages : en
Pages : 286

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Book Description
This is the second edition of Professional Perspectives on Indexing. Contents include the active versus passive debate, Standard and Poor's U.S. equity indexes, medium and small capitalization indexing, global equity index families, investing in index mutual funds, and more.

Hedge Funds, Financial Intermediation, and Systemic Risk

Hedge Funds, Financial Intermediation, and Systemic Risk PDF Author: John Kambhu
Publisher: DIANE Publishing
ISBN: 1428988769
Category : Business & Economics
Languages : en
Pages : 214

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Book Description
Hedge funds have become important players in the U.S. & global capital markets. These largely unregulated funds use: a variety of complex trading strategies & instruments, in their liberal use of leverage, in their opacity to outsiders, & in their convex compensation structure. These differences can exacerbate market failures associated with agency problems, externalities, & moral hazard. Counterparty credit risk mgmt. (CCRM) practices are the first line of defense against market disruptions with potential systemic consequences. This article examines how the unique nature of hedge funds may generate market failures that make CCRM for exposures to the funds intrinsically more difficult to manage, both for regulated institutions & for policymakers. Ill.

Derivatives and Equity Portfolio Management

Derivatives and Equity Portfolio Management PDF Author: Bruce M. Collins
Publisher: John Wiley & Sons
ISBN: 9781883249601
Category : Business & Economics
Languages : en
Pages : 246

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Book Description
Frank Fabozzi and Bruce Collins fully outline the ins and outs of the derivatives process for equity investors in Derivatives and Equity Portfolio Management. A significant investment tool of growing interest, derivatives offer investors options for managing risk in a diversified portfolio. This in-depth guide integrates the derivatives process into portfolio management and is replete with applications from authors with extensive Wall Street experience. Whether you're and individual investor or portfolio manager seeking to improve investment returns, you'll quickly learn about listed equity contracts, using listed options in equity portfolio management, risk management with stock index futures, OTC equity derivatives-and profit from your new found knowledge.

Investing in the New Economy

Investing in the New Economy PDF Author: James Sagner
Publisher: John Wiley & Sons
ISBN: 9781883249984
Category : Business & Economics
Languages : en
Pages : 160

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Book Description
Investors depending on obsolete, "old economy" strategies are often unprepared for the challenges of today’s eCommerce, quarterly results-driven environment. Investing in the New Economy is an essential guide for anyone holding or considering investing in stocks, as it shows why old economy practices will not work and why conceptions of rational stock market analysis must be altered. Author James Sagner demonstrates how to use updated techniques and methods to analyze stock market theories, determine winners and losers, and compile a lifetime portfolio built for optimum success.

Dictionary of Financial Risk Management

Dictionary of Financial Risk Management PDF Author: Gary L. Gastineau
Publisher: John Wiley & Sons
ISBN: 9781883249571
Category : Business & Economics
Languages : en
Pages : 368

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Book Description
Gary Gastineau and Mark Kritzman team up once again for the third edition of this classic reference tool designed for financial analysts and managers. Anyone involved in financial risk management must have a proper understanding of the words, terms, and phrases used in this fast paced field-and Dictionary of Financial Risk Management clearly provides that understanding. Risk management terminology is a part of almost any financial operation, including cash, forwards/futures, swaps, options-and is found in many disciplines: probability and statistics, tax and financial accounting, and law. The vocabulary of the risk manager continues to expand with the creation of new products and new concepts. This volume carefully defines and illustrates all the words and phrases that financial professionals need to know and understand. The Dictionary of Financial Risk Management includes listings of common acronyms, profit/loss diagrams of new financial instruments, and extensive coverage of derivatives and quantitative techniques. This invaluable reference guide provides comprehensive definitions of the key terms and concepts that many financial professionals need to know on a day-to-day basis.