| Título : | Capital markets : institutions, instruments, and risk management | | Tipo de documento: | texto impreso | | Autores: | Frank J. Fabozzi | | Mención de edición: | 6th. ed. | | Editorial: | Massachusetts : The MIT Press | | Fecha de publicación: | 2025 | | Número de páginas: | xv, 993 p. | | ISBN/ISSN/DL: | 978-0-262-04967-2 | | Idioma : | Inglés | | Temas: | BANCOS CENTRALES BONOS ECONOMIA FINANZAS INTERNACIONALES GESTION DE LOS RIESGOS INSTITUCIONES FINANCIERAS MERCADO DE DIVISAS MERCADOS DE CAPITAL SISTEMA FINANCIERO
| | Clasificación: | 332 | | Nota de contenido: | Financial assets and financial markets -- Overview of risks and risk management -- Overview of market participants -- Depository institutions -- Central banks -- Insurance companies and defined benefit pension plans -- Managers of collective investment vehicles -- Investment banking firms -- The term structure of interest rates -- The money market for private debt instruments -- Treasury and agency securities markets -- Municipal securities markets -- Corporate senior instruments markets -- International bond markets -- The residential mortgage market -- The market for U S agency residential mortgage-backed securities -- Primary and secondary markets -- Securitization and its role in primary markets -- Financing markets for small businesses -- Futures forwards and swaps -- Options credit default swaps -- Return distributions and risk measures -- Portfolio selection theory -- Asset pricing theories -- The theory and structure of interest rates -- Valuation of debt contracts and their price volatility characteristics -- The market for credit-sensitive securitized products -- The market for equity derivatives -- Exchange-traded products -- OTC instruments -- The market for credit risk transfer vehicles -- The market for foreign exchange and risk control instruments -- Capital market technologies -- Index. | | Enlace permanente a este registro: | https://opac.um.edu.uy/index.php?lvl=notice_display&id=110976 |
Capital markets : institutions, instruments, and risk management [texto impreso] / Frank J. Fabozzi . - 6th. ed. . - Massachusetts : The MIT Press, 2025 . - xv, 993 p. ISBN : 978-0-262-04967-2 Idioma : Inglés | Temas: | BANCOS CENTRALES BONOS ECONOMIA FINANZAS INTERNACIONALES GESTION DE LOS RIESGOS INSTITUCIONES FINANCIERAS MERCADO DE DIVISAS MERCADOS DE CAPITAL SISTEMA FINANCIERO
| | Clasificación: | 332 | | Nota de contenido: | Financial assets and financial markets -- Overview of risks and risk management -- Overview of market participants -- Depository institutions -- Central banks -- Insurance companies and defined benefit pension plans -- Managers of collective investment vehicles -- Investment banking firms -- The term structure of interest rates -- The money market for private debt instruments -- Treasury and agency securities markets -- Municipal securities markets -- Corporate senior instruments markets -- International bond markets -- The residential mortgage market -- The market for U S agency residential mortgage-backed securities -- Primary and secondary markets -- Securitization and its role in primary markets -- Financing markets for small businesses -- Futures forwards and swaps -- Options credit default swaps -- Return distributions and risk measures -- Portfolio selection theory -- Asset pricing theories -- The theory and structure of interest rates -- Valuation of debt contracts and their price volatility characteristics -- The market for credit-sensitive securitized products -- The market for equity derivatives -- Exchange-traded products -- OTC instruments -- The market for credit risk transfer vehicles -- The market for foreign exchange and risk control instruments -- Capital market technologies -- Index. | | Enlace permanente a este registro: | https://opac.um.edu.uy/index.php?lvl=notice_display&id=110976 |
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