This book explores the behavior of interest rates as they relate to changing market conditions, and examines how risk can be managed. It successfully bridges the gap between interest-rate theory and its application to fixed-income security portfolio management. Coverage includes the function of financial markets, the flow-of-funds system, foundations for interest rates, inflation and returns, derivative securities, the influence of taxes, and the social l allocation of capital. For those in the financial community, in business, and in government, who are concerned with investing in or issuing fixed-income securities.
Financial Market Rates and Flows (6th Edition)
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Book Details
Author(s)James C. Van Horne
PublisherPrentice Hall
ISBN / ASIN0130180440
ISBN-139780130180445
Sales Rank985,104
CategoryBusiness & Economics
MarketplaceUnited States 🇺🇸
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