Understand Bonds and Gilts in a Day

Understand Bonds and Gilts in a Day
Author: Ian Bruce
Publisher:
Total Pages: 124
Release: 2009
Genre: Business & Economics
ISBN:

This handy title shows potential investors, and those with an interest in the bond markets, how to assess the risks and rewards and give criteria on which to base investment decisions. The following areas are included: Gilt Edge Bonds, Corporate Bonds, Convertibles, Index Linked Bonds, Zeros, Undated stocks, Euro Bonds, High-Risk Junk Bonds and Bond funds. Learn to: * Determine which bonds and gilts are carrying a premium and which a discount * Diversify a portfolio to smooth delayed payments of interest * Guard against default by the issuer * Avoid the liquidity risk of rising rates * Assess market risk.

Bond Investing For Dummies

Bond Investing For Dummies
Author: Russell Wild
Publisher: John Wiley & Sons
Total Pages: 390
Release: 2022-08-30
Genre: Business & Economics
ISBN: 1119894786

Everything on bonds, bond funds, and more! Updated for the new economy Whether you're looking for income, diversification, or protection from stock market volatility, bonds can play an important role in any portfolio. Newly updated, Bond Investing For Dummies covers the essentials of getting started and ways to select and purchase bonds for your needs. You'll get up to speed on the different bond varieties and see how to get the best prices when you sell. We’ll help you wrap your mind around bond returns and risk and recognize the major factors that influence bond performance. With easily understandable explanations and examples, you can understand bonds from every angle—yield, credit risk, callability, fund selection, bond broker-dealers, web portals, and beyond. This is the expert information and advice you need to invest in bonds in today’s environment. Learn what bonds are and how you can use them to strengthen and protect your portfolio Understand how interest rates and other shifting sands affect bond investing Minimize your risk and maximize your returns with proven advice from an expert financial advisor Use online investing and apps to buy bonds and bond funds with confidence and ease Novice and experienced investors alike will love this quick-and-easy approach to bond investing.

Bonds in a Day

Bonds in a Day
Author: Stewart Cowley
Publisher: Harriman House Limited
Total Pages: 100
Release: 2018-05-08
Genre: Business & Economics
ISBN: 0857196367

The bond markets can be a bewildering place - the words, the concepts and the mathematics can be mind-bogglingly confusing even to seasoned professionals. In this step-by-step guide, Stewart Cowley - one of the UK's best-known bond managers - takes investors through the basics they need to know to begin understanding bonds. From compound interest, through yield calculations, how the bond markets work and how to make the most out of the bond markets, this practical, easy-to-read handbook uses spreadsheet examples combined with a wealth of experience to help you work through real-world examples of bond management.

Naked Guide to Bonds

Naked Guide to Bonds
Author: Michael V. Brandes
Publisher: John Wiley & Sons
Total Pages: 258
Release: 2010-12-15
Genre: Business & Economics
ISBN: 1118039912

Professional investors have long understood the importance of bonds in a successful portfolio strategy. Now you can too. That's because Wall Street bond expert Michael Brandes takes a unique approach to this complex subject—he makes it simple. In Naked Guide to Bonds: What You Need to Know, Stripped Down to the Bare Essentials, technical jargon and complicated subject matter are translated into a straightforward, easy-to-read style with plenty of examples. What's more, rather than writing an all-inclusive book on the bond market, Brandes uses his expertise to eliminate the information that is not relevant to individual investors. The result is a practical and succinct guide that empowers you to make informed investment decisions. Naked Guide to Bonds is written so that each chapter builds upon the information that precedes it. That way you'll never be thrown for a loop. It begins with basic questions such as: Who issues bonds, and why? And how are bonds bought and sold? Then you'll learn about the structure of these securities and the characteristics that distinguish them from stocks. Once you're armed with the fundamentals, you'll discover how inflation, interest rates, and changes in the economy impact bond prices. Naked Guide to Bonds also provides insights about different types of bonds, including those issued by the U.S. government and its agencies, municipalities, corporations, and international issuers. Most importantly, you'll understand how to identify the bonds that are most appropriate for you. In the final sections, you'll determine how to: Assess your risk profile and set goals Construct a portfolio to meet your objectives Implement a customized strategy Evaluate individual bonds and mutual funds Monitor and maintain your portfolio Avoid the most common mistakes Filled with helpful charts and informative "Bare Essentials" summary points at the beginning of each chapter, Naked Guide to Bonds provides an effective way to become a smart and successful bond investor. Take a look for yourself and you'll see how enjoyable and rewarding learning about bonds can be.

The Financial Times Guide to Bond and Money Markets

The Financial Times Guide to Bond and Money Markets
Author: Glen Arnold
Publisher: Pearson UK
Total Pages: 381
Release: 2015-08-11
Genre: Business & Economics
ISBN: 0273791818

This jargon-busting book shows how bond & money markets work & how they impact on everyday life. · Understand terms & products · Explore types of markets & their functions · Discover factors influencing market prices · Learn how fluctuations can affect your money strategies

Bond Investment

Bond Investment
Author: Gianmarco Venturisi
Publisher:
Total Pages: 156
Release: 2020-11-15
Genre: Business & Economics
ISBN: 9781513675190

If you want to learn how to juggle the world of bond investments, read on! Every day there are news related to bonds, descending and soaring prices, but not many who really understand what we are talking about. Everyone knows that bonds can be an interesting source of income, but few have the skills to invest in them profitably. Have you always wanted to know what bonds really consists of? Would you like to understand how to invest in bonds and what are the techniques to do it? Would you like to learn which are the most effective methodologies to reduce risks? This book will provide you with complete training on the main topics related to the world of bonds. Reading it you will learn: to understand what bonds consist of to take your first steps in finance to understand what the main techniques to invest in bonds consist of and... to analyze bonds to understand what are the main indicators for the selection of bonds ...and much more! Although today the world of finance may seem particularly dark to you, reading this book ensures adequate training, sufficient to direct you and move you in the correct direction. Buy "Bond Investment" now! Enjoy the reading!

Gilt-Edged Market

Gilt-Edged Market
Author: Moorad Choudhry
Publisher: Elsevier
Total Pages: 303
Release: 2003-05-01
Genre: Business & Economics
ISBN: 0080472869

The Gilt-Edged Market is specifically aimed at finance professionals and investors who need to understand the inner working of the United Kingdom gilt market. There is detailed coverage of the different gilt instruments, as well as a look at the structures, institutions and practices of the market itself.Topics include:* Bond basics* Conventional gilts* Index-linked gilts* Gilt strips* The gilt repo market* The gilt bond future basis* Yield spread trading using giltsThere are also personal reminiscenes that illustrate the great changes that have occurred in this market since Big Bang, as well as an exposition on the art of trading.The Gilt-Edged Market is ideal reading for traders, salespersons, fund managers, private investors and other professionals involved to any extent in the UK gilt market. * The latest research on index-linked gilts, gilt markets and sterling debt markets presented in an enthusiastic, readable style* Written by gilt-edged market makers and dealers to ensure realistic, practical coverage as well as a clear explanation of the theory, so readers gain from years' experience* Foreword written by Mike Williams, CEO of the Debt Management Office

How to Understand the Financial Pages

How to Understand the Financial Pages
Author: Alexander Davidson
Publisher: Kogan Page Publishers
Total Pages: 385
Release: 2008-07-03
Genre: Business & Economics
ISBN: 0749454938

The only basic guide to the financial media that anyone will ever need. This new edition of How to Understand the Financial Pages provides comprehensive coverage of newspapers and magazines, and also financial websites, stockbrokers' research and company reports. The handy A-Z format enables the reader to look up entries quickly and easily. Essential terms and concepts are explained in non-technical English, and it is extensively cross-referenced. A valuable reference tool for any private investor, it is international in scope and includes references to the use of technical analysis in internet trading, the development of hedge funds and other alternative investments, and the growth of financial services regulation and compliance - something other guides often omit. Journalistic, snappy and stylish, it will help anyone to read the financial pages and gain a full understanding of the concepts involved.

Understanding Risk

Understanding Risk
Author: David Murphy
Publisher: CRC Press
Total Pages: 472
Release: 2008-04-23
Genre: Business & Economics
ISBN: 9781584888949

Sound risk management often involves a combination of both mathematical and practical aspects. Taking this into account, Understanding Risk: The Theory and Practice of Financial Risk Management explains how to understand financial risk and how the severity and frequency of losses can be controlled. It combines a quantitative approach with a

Advanced Fixed Income Analysis

Advanced Fixed Income Analysis
Author: Moorad Choudhry
Publisher: Elsevier
Total Pages: 268
Release: 2015-08-28
Genre: Business & Economics
ISBN: 0080999417

Each new chapter of the Second Edition covers an aspect of the fixed income market that has become relevant to investors but is not covered at an advanced level in existing textbooks. This is material that is pertinent to the investment decisions but is not freely available to those not originating the products. Professor Choudhry’s method is to place ideas into contexts in order to keep them from becoming too theoretical. While the level of mathematical sophistication is both high and specialized, he includes a brief introduction to the key mathematical concepts. This is a book on the financial markets, not mathematics, and he provides few derivations and fewer proofs. He draws on both his personal experience as well as his own research to bring together subjects of practical importance to bond market investors and analysts. Presents practitioner-level theories and applications, never available in textbooks Focuses on financial markets, not mathematics Covers relative value investing, returns analysis, and risk estimation