Capital markets : Institutions, instruments and risk management / Frank J. Fabozzi
Material type:
- 9780262029483
- HG 4523 .F33 2015

Item type | Current library | Home library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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National University - Manila | LRC - Annex II General Circulation | Financial Management | GC HG 4523 .F33 2015 (Browse shelf(Opens below)) | c.1 | Available | NULIB000014373 |
Browsing LRC - Annex II shelves, Shelving location: General Circulation, Collection: Financial Management Close shelf browser (Hides shelf browser)
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GC HG 4026 .H53 2016 Analysis for financial management / | GC HG 4026 .S64 2016 Strategic financial management / | GC HG 4028 .E87 2013 Essentials of treasury management / | GC HG 4523 .F33 2015 Capital markets : Institutions, instruments and risk management / | GC HJ 141 .W36 2015 Financial management in the public sector: tools, application, and cases / | GC HJ 2051 .M46 2013 The Basics of public budgeting and financial management: a handbook for academics and practitioners / |
Includes index.
Part I. Introduction -- Part II. The players -- Part III. Basics of cash and derivatives markets -- Part IV. Risk and return theories -- Part V. Interest rate determination and debt pricing -- Part VI. Equity markets -- Part VII. Debt markets -- Part VIII> Derivative markets .
Capital Markets covers the instruments, the players, and the principles of valuation, along with describing the wide range of instruments for financing, investing, and controlling risk available in today's financial markets.
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