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PDF Ebook Fixed Income Securities Valuation, Risk, and Risk Management

PDF Ebook Fixed Income Securities Valuation, Risk, and Risk Management

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Fixed Income Securities Valuation, Risk, and Risk Management

Fixed Income Securities Valuation, Risk, and Risk Management


Fixed Income Securities Valuation, Risk, and Risk Management


PDF Ebook Fixed Income Securities Valuation, Risk, and Risk Management

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Fixed Income Securities Valuation, Risk, and Risk Management

Printed in Asia - Carries Same Contents as of US edition - Opt Expedited Shipping for 3 to 4 day delivery -

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Product details

Paperback: 810 pages

Publisher: SOP; 1st edition (January 1, 2011)

Language: English

ISBN-10: 8126531711

ISBN-13: 978-8126531714

Package Dimensions:

9.3 x 7.1 x 1.3 inches

Shipping Weight: 2.4 pounds (View shipping rates and policies)

Average Customer Review:

3.3 out of 5 stars

25 customer reviews

Amazon Best Sellers Rank:

#386,356 in Books (See Top 100 in Books)

I just taught a course using this book as a guide and I can say it is just what we needed. It lies in between mathematically oriented books such as Brigo-Mercurio and more intuitive approaches such as Hull. It is one of the few books I have seen that does a pretty good job at explaining plain vanilla instruments such as interest rate swaps, caps & floors and swaptions. At the same time the exposition of the various interest rate models and the forward measure is excellent. I do not give it five stars only because at certain points the mathematics is very imprecise and leads to confusion. See for example the treatment of HJM framework when the author uses Stochastic Fubini with very little explanation.Nonetheless, this is a must have and I am looking forward to edition number two.

This is a decent book. Overly complicates relatively simple problems and has very few example problems.

Overall this is a nice intro textbook to fixed income. But it has way to many typos and arithmetic mistakes. The typo list on the author's website only addresses less than half typos and mistakes. The author did not keep consistency when explaining mathematical derivations. Sometimes he treats readers as math morons and sometimes he skips important steps/explanations which in fact should be there to help "math morons".

Finance books aimed at quantitative MBAs either seem to overdo the math and hide what operatively is going on, or present you with a meaningless string of formulas. Fixed Income Securities does a good job of showing where simple half page types of derivations come from, drastically reducing the "bunny out a hat feeling".The explanations are very clear and succinct. I'm surprised by the typos concern - a list of corrections are on Veronesi's site, and I can't remember seeing more than two while reading it.

I got the book on time and as advertised. Thanks.

Really well done.Explanations are clear, and he gives the most thorough mathematical explanations among intro to Fixed Income books.

Class reference. Printing is not very satisfying.

a lot more usefull than other books I have read on the subject.

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Fixed Income Securities Valuation, Risk, and Risk Management PDF

Fixed Income Securities Valuation, Risk, and Risk Management PDF

Fixed Income Securities Valuation, Risk, and Risk Management PDF
Fixed Income Securities Valuation, Risk, and Risk Management PDF

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