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Fixed income markets in Asia
Published 2009Subjects: “…DRNTU::Business::Finance::Fixed income::Bonds…”
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Final Year Project (FYP) -
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Risk management : approaches for fixed income markets /
Published 2000Subjects: “…Fixed-income securities…”
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Fixed income securities : tools for today's markets /
Published 1995Subjects: “…Fixed-income securities…”
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Fixed income markets : instruments, applications, mathematics /
Published 2004Subjects: “…Fixed-income securities…”
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Fixed income mathematics : analytical and statistical techniques /
Published 2006Subjects: “…Fixed-income securities…”
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FIXED INCOME INSTRUMENTS IN THE CAPITAL MARKET IN ROMANIA
Published 2011-04-01Subjects: “…fixed income securities…”
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Indexation of Fixed-Income Portfolios to the IMA-B
Published 2015-01-01Subjects: Get full text
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Fixed income strategy : the practitioner's guide to riding the curve /
Published 2003Subjects: “…Fixed-income securities…”
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THE ROLE OF MATHEMATICAL METHODS IN THE THEORY OF FINANCIAL INVESTMENTS IN FIXED INCOME
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Article -
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Green bonds: the shape of green fixed-income investing to come
Published 2020“…This paper serves as an introduction to the Journal of Environmental Investing’s issue (Vol. 10, No. 1, 2020) on climate and green bonds. Fixed-income securities that integrate environmental, social, and governance (ESG) factors have become a crucial component of most sustainable investment and climate-related risk management strategies. …”
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Term structure of interest rates for Malaysian fixed income security
Published 2012“…This study investigates the term structure of interest rates for the Malaysian fixed income security. This study is relevant because Malaysia has one of the fastest growing bond markets in the region. …”
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Thesis -
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European fixed income markets : money, bond, and interest rate derivatives /
Published 2004Subjects: -
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Pathwise grid valuation of fixed-income portfolios with applications to risk management
Published 2022-07-01Subjects: Get full text
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Desirable Portfolios in Fixed Income Markets: Application to Credit Risk Premiums
Published 2018-03-01“…We investigate in detail the theoretical aspects of this portfolio selection procedure and the existence of such opportunities in fixed income markets. Then, we present two applications of the theory: one in analyzing market integration problem and the other in gauging the credit quality of defaultable bonds in a portfolio. …”
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Article