Author: Mark Glowery
Publisher: Harriman House Limited
ISBN: 0857193104
Category : Business & Economics
Languages : en
Pages : 304
Book Description
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.
The Sterling Bonds and Fixed Income Handbook
Author: Mark Glowery
Publisher: Harriman House Limited
ISBN: 0857193104
Category : Business & Economics
Languages : en
Pages : 304
Book Description
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.
Publisher: Harriman House Limited
ISBN: 0857193104
Category : Business & Economics
Languages : en
Pages : 304
Book Description
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.
The Sterling Bonds and Fixed Income Handbook
Author: Mark Glowrey
Publisher: Harriman House Limited
ISBN: 0857190423
Category : Biography & Autobiography
Languages : en
Pages : 356
Book Description
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.
Publisher: Harriman House Limited
ISBN: 0857190423
Category : Biography & Autobiography
Languages : en
Pages : 356
Book Description
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.
Fixed-Income Securities and Derivatives Handbook
Author: Moorad Choudhry
Publisher: John Wiley & Sons
ISBN: 1576603342
Category : Business & Economics
Languages : en
Pages : 499
Book Description
The definitive guide to fixed-come securities-revised to reflect today's dynamic financial environment The Second Edition of the Fixed-Income Securities and Derivatives Handbook offers a completely updated and revised look at an important area of today's financial world. In addition to providing an accessible description of the main elements of the debt market, concentrating on the instruments used and their applications, this edition takes into account the effect of the recent financial crisis on fixed income securities and derivatives. As timely as it is timeless, the Second Edition of the Fixed-Income Securities and Derivatives Handbook includes a wealth of new material on such topics as covered and convertible bonds, swaps, synthetic securitization, and bond portfolio management, as well as discussions regarding new regulatory twists and the evolving derivatives market. Offers a more detailed look at the basic principles of securitization and an updated chapter on collateralized debt obligations Covers bond mathematics, pricing and yield analytics, and term structure models Includes a new chapter on credit analysis and the different metrics used to measure bond-relative value Contains illustrative case studies and real-world examples of the topics touched upon throughout the book Written in a straightforward and accessible style, Moorad Choudhry's new book offers the ideal mix of practical tips and academic theory within this important field.
Publisher: John Wiley & Sons
ISBN: 1576603342
Category : Business & Economics
Languages : en
Pages : 499
Book Description
The definitive guide to fixed-come securities-revised to reflect today's dynamic financial environment The Second Edition of the Fixed-Income Securities and Derivatives Handbook offers a completely updated and revised look at an important area of today's financial world. In addition to providing an accessible description of the main elements of the debt market, concentrating on the instruments used and their applications, this edition takes into account the effect of the recent financial crisis on fixed income securities and derivatives. As timely as it is timeless, the Second Edition of the Fixed-Income Securities and Derivatives Handbook includes a wealth of new material on such topics as covered and convertible bonds, swaps, synthetic securitization, and bond portfolio management, as well as discussions regarding new regulatory twists and the evolving derivatives market. Offers a more detailed look at the basic principles of securitization and an updated chapter on collateralized debt obligations Covers bond mathematics, pricing and yield analytics, and term structure models Includes a new chapter on credit analysis and the different metrics used to measure bond-relative value Contains illustrative case studies and real-world examples of the topics touched upon throughout the book Written in a straightforward and accessible style, Moorad Choudhry's new book offers the ideal mix of practical tips and academic theory within this important field.
Fixed Income Markets
Author: Moorad Choudhry
Publisher: John Wiley & Sons
ISBN: 1118171721
Category : Business & Economics
Languages : en
Pages : 708
Book Description
A comprehensive, in-depth look at global debt capital markets in the post-crisis world Fully updated with comprehensive coverage of the post-crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers insights into derivative pricing, cross-currency hedging, and new liquidity legislation. Written by Choudhry, Moskovic, and Wong, Fixed Income Markets is an indispensable read for anyone working in bond markets, interest-rate markets, and credit derivatives markets looking to better understand today's debt markets. This acclaimed book takes a unique look into the leading practices in bond markets as well as post-credit-crunch impacts on pricing that are rarely captured in textbooks. The new edition provides expanded coverage on a wide range of topics within hedging, derivatives, bonds, rebalancing, and global debt capital markets. New topics include: Dynamic hedging practices and cross-currency hedging Collateralized and uncollateralized derivatives, and their impact on valuation Callable bonds, pricing, trading, and regulatory aspects related to liquidity Rebalancing as a method for capturing contingencies and other complex imbedded risks As a bonus, the book includes reference information for statistical concepts and fixed income pricing, as well as a full glossary and index. Written in Choudhry's usual accessible style, Fixed Income Markets is a comprehensive and in-depth account of the global debt capital markets in today's post-crisis world.
Publisher: John Wiley & Sons
ISBN: 1118171721
Category : Business & Economics
Languages : en
Pages : 708
Book Description
A comprehensive, in-depth look at global debt capital markets in the post-crisis world Fully updated with comprehensive coverage of the post-crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers insights into derivative pricing, cross-currency hedging, and new liquidity legislation. Written by Choudhry, Moskovic, and Wong, Fixed Income Markets is an indispensable read for anyone working in bond markets, interest-rate markets, and credit derivatives markets looking to better understand today's debt markets. This acclaimed book takes a unique look into the leading practices in bond markets as well as post-credit-crunch impacts on pricing that are rarely captured in textbooks. The new edition provides expanded coverage on a wide range of topics within hedging, derivatives, bonds, rebalancing, and global debt capital markets. New topics include: Dynamic hedging practices and cross-currency hedging Collateralized and uncollateralized derivatives, and their impact on valuation Callable bonds, pricing, trading, and regulatory aspects related to liquidity Rebalancing as a method for capturing contingencies and other complex imbedded risks As a bonus, the book includes reference information for statistical concepts and fixed income pricing, as well as a full glossary and index. Written in Choudhry's usual accessible style, Fixed Income Markets is a comprehensive and in-depth account of the global debt capital markets in today's post-crisis world.
The Naked Trader
Author: Robbie Burns
Publisher: Harriman House Limited
ISBN: 0857191667
Category : Business & Economics
Languages : en
Pages : 309
Book Description
Completely updated and expanded 3rd edition The most entertaining book on how to trade shares is back - and this time it's even more revealing. In this completely updated and expanded third edition, top trader Robbie Burns gives you the lowdown on the trading strategies you need to make money from the stock market without having to sit at a screen for every second of the day. Robbie quit the rat race more than ten years ago, and believes you can do it too. The first two editions of The Naked Trader flew off the shelves as the glowing reviews from readers mounted up. This brand-new third edition contains even more essential content than before: more vital tips, more key facts, more ideas, more insights, more real-life tales and an awful lot more toast. Not to mention twice the number of secret trading strategies: 20 proven techniques that you can use to make money from the markets. Trading shares, eating toast, making money Robbie, aka the Naked Trader, is your expert and highly entertaining guide to the often baffling world of the stock market. In between cups of tea, rounds of toast and watching "Cash in the Attic", he describes the straightforward techniques that have enabled him to succeed in the markets, escape the rat race and ensure he never has to wear a tie again. This book tells you all you need to know to become a successful investor. From how to find good shares in the first place, ensuring you don't buy a complete stinker, to getting your timing right, minimising your losses and learning how to let your profits run. And for the first time, find out how Robbie even made money and protected himself during market meltdowns and how you too can defend your trading when the market throws a wobbly. He also happily reveals his mistakes too. If you're a complete beginner you can start here. And if you're currently trading but want to learn some new ideas, get reading now! The Naked Trader is packed with practical and easy-to-follow advice, with none of the incomprehensible jargon found in so many other books. Robbie hates jargon and writes in plain English! Whether you just want to make a few quid on the side while you're at work or eventually you want to go on to make money from the markets full-time and quit work like Robbie, this book is all you need to get started. So grab some tea, toast and relax - and start trading the naked way.
Publisher: Harriman House Limited
ISBN: 0857191667
Category : Business & Economics
Languages : en
Pages : 309
Book Description
Completely updated and expanded 3rd edition The most entertaining book on how to trade shares is back - and this time it's even more revealing. In this completely updated and expanded third edition, top trader Robbie Burns gives you the lowdown on the trading strategies you need to make money from the stock market without having to sit at a screen for every second of the day. Robbie quit the rat race more than ten years ago, and believes you can do it too. The first two editions of The Naked Trader flew off the shelves as the glowing reviews from readers mounted up. This brand-new third edition contains even more essential content than before: more vital tips, more key facts, more ideas, more insights, more real-life tales and an awful lot more toast. Not to mention twice the number of secret trading strategies: 20 proven techniques that you can use to make money from the markets. Trading shares, eating toast, making money Robbie, aka the Naked Trader, is your expert and highly entertaining guide to the often baffling world of the stock market. In between cups of tea, rounds of toast and watching "Cash in the Attic", he describes the straightforward techniques that have enabled him to succeed in the markets, escape the rat race and ensure he never has to wear a tie again. This book tells you all you need to know to become a successful investor. From how to find good shares in the first place, ensuring you don't buy a complete stinker, to getting your timing right, minimising your losses and learning how to let your profits run. And for the first time, find out how Robbie even made money and protected himself during market meltdowns and how you too can defend your trading when the market throws a wobbly. He also happily reveals his mistakes too. If you're a complete beginner you can start here. And if you're currently trading but want to learn some new ideas, get reading now! The Naked Trader is packed with practical and easy-to-follow advice, with none of the incomprehensible jargon found in so many other books. Robbie hates jargon and writes in plain English! Whether you just want to make a few quid on the side while you're at work or eventually you want to go on to make money from the markets full-time and quit work like Robbie, this book is all you need to get started. So grab some tea, toast and relax - and start trading the naked way.
The UK Stock Market Almanac 2014
Author: Stephen Eckett
Publisher: Harriman House Limited
ISBN: 0857193279
Category : Business & Economics
Languages : en
Pages : 251
Book Description
The Almanac is a unique reference work providing traders and investors with the data to tackle the markets in the year ahead. The main section consists of 52 weekly articles focusing on a range of strategies based on original seasonality analysis. These are supplemented with facts, figures and trivia unique to the Almanac. This is an extremely valuable and informative companion to the financial year, making the Almanac the one essential book for the serious trader or investor. The Almanac consists of three main sections: 1. Day-to-day financial data Data and statistics Each page of this section includes key financial dates including: important economic releases, derivative contract expiries, exchange holidays, and company results expected that week. The pages also feature the results of a unique study of the historic performance of the market for each day and week of the year - the Sinclair Numbers. Seasonality research Each page of the diary is accompanied by an original, informative and entertaining article. These cover studies of trends and anomalies, seasonality analysis, momentum effects, sector performance, arbitrage opportunities, FTSE Index reviews, as well as the results of some more unusual and eye-opening research. 2. Statistics A collection of articles featuring statistical analysis of UK stock market data and more wide-ranging topics than the Diary. Exclusive to the Almanac, sector, weekly and daily market performance analysis data is included. 3. Reference The Reference section includes background information about UK and international stock indices. Topics covered include basic facts about the market, trade codes, a timetable of the trading day and a look at the original constituents of the FT 30 of 1935 and the FTSE 100 of 1984. stockmarketalmanac.co.uk @UKAlmanac
Publisher: Harriman House Limited
ISBN: 0857193279
Category : Business & Economics
Languages : en
Pages : 251
Book Description
The Almanac is a unique reference work providing traders and investors with the data to tackle the markets in the year ahead. The main section consists of 52 weekly articles focusing on a range of strategies based on original seasonality analysis. These are supplemented with facts, figures and trivia unique to the Almanac. This is an extremely valuable and informative companion to the financial year, making the Almanac the one essential book for the serious trader or investor. The Almanac consists of three main sections: 1. Day-to-day financial data Data and statistics Each page of this section includes key financial dates including: important economic releases, derivative contract expiries, exchange holidays, and company results expected that week. The pages also feature the results of a unique study of the historic performance of the market for each day and week of the year - the Sinclair Numbers. Seasonality research Each page of the diary is accompanied by an original, informative and entertaining article. These cover studies of trends and anomalies, seasonality analysis, momentum effects, sector performance, arbitrage opportunities, FTSE Index reviews, as well as the results of some more unusual and eye-opening research. 2. Statistics A collection of articles featuring statistical analysis of UK stock market data and more wide-ranging topics than the Diary. Exclusive to the Almanac, sector, weekly and daily market performance analysis data is included. 3. Reference The Reference section includes background information about UK and international stock indices. Topics covered include basic facts about the market, trade codes, a timetable of the trading day and a look at the original constituents of the FT 30 of 1935 and the FTSE 100 of 1984. stockmarketalmanac.co.uk @UKAlmanac
Kathleen Brooks on Forex
Author: Kathleen Brooks
Publisher: Harriman House Limited
ISBN: 0857193112
Category : Business & Economics
Languages : en
Pages : 138
Book Description
A simple approach to successful forex trading Many foreign exchange traders use either fundamental analysis or technical analysis and they're often considered to be mutually exclusive approaches. But FX does not have to be traded that way - fusing the two types of analysis will improve your research and, more importantly, your trading results. This is how Kathleen Brooks trades foreign exchange and she has found it to be extremely successful. In Kathleen Brooks on Forex she reveals the secrets of this approach, demonstrating the indicators she uses, and showing through detailed examples how she plans and executes profitable trades. At the heart of Kathleen's trading philosophy is the principle that fundamental factors - politics, economics and societal changes - cause currency prices to move in the medium to long term (and sometimes in the strangest ways), but throughout the day the price movements are based upon technical factors. Building a trading plan around the two sets of factors works for her and by reading about how she does her pre-trade market analysis (the homework), forms a trading plan and puts the plan into action, you will see how to apply this principle in practice in your own trading. The book is divided into four sections: - Part A - using fundamental indicators to gain an impression of the market - Part B - using technical indicators to refine your trading plan - Part C - fusing fundamental and technical analysis to select trades - Part D - revealing Kathleen's risk management techniques Kathleen's description of her method, and ideas on how you can use it too, will appeal to anyone who wants to learn more about how to trade foreign exchange as well as those already in the market looking for a fresh approach. Blissfully free of rhetoric, written in an accessible personal style and punctuated with anecdotes from Kathleen's unique career in the markets, this is a new and refreshing look at foreign exchange.
Publisher: Harriman House Limited
ISBN: 0857193112
Category : Business & Economics
Languages : en
Pages : 138
Book Description
A simple approach to successful forex trading Many foreign exchange traders use either fundamental analysis or technical analysis and they're often considered to be mutually exclusive approaches. But FX does not have to be traded that way - fusing the two types of analysis will improve your research and, more importantly, your trading results. This is how Kathleen Brooks trades foreign exchange and she has found it to be extremely successful. In Kathleen Brooks on Forex she reveals the secrets of this approach, demonstrating the indicators she uses, and showing through detailed examples how she plans and executes profitable trades. At the heart of Kathleen's trading philosophy is the principle that fundamental factors - politics, economics and societal changes - cause currency prices to move in the medium to long term (and sometimes in the strangest ways), but throughout the day the price movements are based upon technical factors. Building a trading plan around the two sets of factors works for her and by reading about how she does her pre-trade market analysis (the homework), forms a trading plan and puts the plan into action, you will see how to apply this principle in practice in your own trading. The book is divided into four sections: - Part A - using fundamental indicators to gain an impression of the market - Part B - using technical indicators to refine your trading plan - Part C - fusing fundamental and technical analysis to select trades - Part D - revealing Kathleen's risk management techniques Kathleen's description of her method, and ideas on how you can use it too, will appeal to anyone who wants to learn more about how to trade foreign exchange as well as those already in the market looking for a fresh approach. Blissfully free of rhetoric, written in an accessible personal style and punctuated with anecdotes from Kathleen's unique career in the markets, this is a new and refreshing look at foreign exchange.
Quantitative Investing
Author: Fred Piard
Publisher: Harriman House Limited
ISBN: 085719349X
Category : Business & Economics
Languages : en
Pages : 131
Book Description
This book provides straightforward quantitative strategies that any investor can implement with little work using simple, free or low-cost tools and services. But what exactly is quantitative investing? There are various possible definitions of quantitative investing, but the author defines it as: Identifying reasonable and measurable hypotheses about behaviours of the financial market so as to make investment decisions with an acceptable confidence in expected returns and risks. The main advantages in using quantitative models are that they: - make the investment process independent of opinions and emotions (the most important factor for an individual investor), and - make it reproducible by anyone at any time (the most important factor for a fund) With a set of good strategies, quantitative investing allows one to act in the market at specific pre-planned times. It is possible to work on this just once a week or month, and ignore charts and the news. It removes most of the doubts and emotions with the discipline of keeping a long-term vision and sensible money management. This book will show you how.
Publisher: Harriman House Limited
ISBN: 085719349X
Category : Business & Economics
Languages : en
Pages : 131
Book Description
This book provides straightforward quantitative strategies that any investor can implement with little work using simple, free or low-cost tools and services. But what exactly is quantitative investing? There are various possible definitions of quantitative investing, but the author defines it as: Identifying reasonable and measurable hypotheses about behaviours of the financial market so as to make investment decisions with an acceptable confidence in expected returns and risks. The main advantages in using quantitative models are that they: - make the investment process independent of opinions and emotions (the most important factor for an individual investor), and - make it reproducible by anyone at any time (the most important factor for a fund) With a set of good strategies, quantitative investing allows one to act in the market at specific pre-planned times. It is possible to work on this just once a week or month, and ignore charts and the news. It removes most of the doubts and emotions with the discipline of keeping a long-term vision and sensible money management. This book will show you how.
The 17.6 Year Stock Market Cycle
Author: Kerry Balenthiran
Publisher: Harriman House Limited
ISBN: 0857192736
Category : Business & Economics
Languages : en
Pages : 83
Book Description
The identification of a 17-18 year stock market cycle is nothing new, but the author has discovered a stock market cycle consisting of increments of 2.2 years that he has extrapolated back over 100 years. He calls this cycle, rather modestly (and, after all, if has to be called something), the Balenthiran Cycle. This book deals with this subject.
Publisher: Harriman House Limited
ISBN: 0857192736
Category : Business & Economics
Languages : en
Pages : 83
Book Description
The identification of a 17-18 year stock market cycle is nothing new, but the author has discovered a stock market cycle consisting of increments of 2.2 years that he has extrapolated back over 100 years. He calls this cycle, rather modestly (and, after all, if has to be called something), the Balenthiran Cycle. This book deals with this subject.
Gilt-Edged Market
Author: Moorad Choudhry
Publisher: Elsevier
ISBN: 0080472869
Category : Business & Economics
Languages : en
Pages : 303
Book Description
The Gilt-Edged Market is specifically aimed at finance professionals and investors who need to understand the inner working of the United Kingdom gilt market. There is detailed coverage of the different gilt instruments, as well as a look at the structures, institutions and practices of the market itself.Topics include:* Bond basics* Conventional gilts* Index-linked gilts* Gilt strips* The gilt repo market* The gilt bond future basis* Yield spread trading using giltsThere are also personal reminiscenes that illustrate the great changes that have occurred in this market since Big Bang, as well as an exposition on the art of trading.The Gilt-Edged Market is ideal reading for traders, salespersons, fund managers, private investors and other professionals involved to any extent in the UK gilt market.* The latest research on index-linked gilts, gilt markets and sterling debt markets presented in an enthusiastic, readable style* Written by gilt-edged market makers and dealers to ensure realistic, practical coverage as well as a clear explanation of the theory, so readers gain from years' experience* Foreword written by Mike Williams, CEO of the Debt Management Office
Publisher: Elsevier
ISBN: 0080472869
Category : Business & Economics
Languages : en
Pages : 303
Book Description
The Gilt-Edged Market is specifically aimed at finance professionals and investors who need to understand the inner working of the United Kingdom gilt market. There is detailed coverage of the different gilt instruments, as well as a look at the structures, institutions and practices of the market itself.Topics include:* Bond basics* Conventional gilts* Index-linked gilts* Gilt strips* The gilt repo market* The gilt bond future basis* Yield spread trading using giltsThere are also personal reminiscenes that illustrate the great changes that have occurred in this market since Big Bang, as well as an exposition on the art of trading.The Gilt-Edged Market is ideal reading for traders, salespersons, fund managers, private investors and other professionals involved to any extent in the UK gilt market.* The latest research on index-linked gilts, gilt markets and sterling debt markets presented in an enthusiastic, readable style* Written by gilt-edged market makers and dealers to ensure realistic, practical coverage as well as a clear explanation of the theory, so readers gain from years' experience* Foreword written by Mike Williams, CEO of the Debt Management Office