FIXED INCOME SECURITIES: VALUATION AND RISK MANAGEMENT

Publisher:
CENGAGE INDIA
| Author:
M. Kannadhasan
| Language:
English
| Format:
Paperback
Publisher:
CENGAGE INDIA
Author:
M. Kannadhasan
Language:
English
Format:
Paperback

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ISBN:
SKU 9789390555536 Category
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Page Extent:
636

Fixed income securities markets are central to the modern economy. It is humongous and the most influential market in the entire financial system. In addition to that, the global fixed income securities market is becoming highly competitive and increasingly complex. This necessitates having a comprehensive, inclusive, well-structured, and up-to-date text available for fixed income analyses. This book is specially designed for students and professionals interested in understanding fixed income securities and fixed income markets. It provides a comprehensive blend of theoretical as well as practical aspects of fixed income investments.

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Description

Fixed income securities markets are central to the modern economy. It is humongous and the most influential market in the entire financial system. In addition to that, the global fixed income securities market is becoming highly competitive and increasingly complex. This necessitates having a comprehensive, inclusive, well-structured, and up-to-date text available for fixed income analyses. This book is specially designed for students and professionals interested in understanding fixed income securities and fixed income markets. It provides a comprehensive blend of theoretical as well as practical aspects of fixed income investments.

About Author

M. Kannadhasan is Professor of Finance at the Indian Institute of Management, Raipur, where he teaches Fixed Income Securities to the students of the MBA programme. He received his bachelor’s degree in commerce from Madras University; MBA from Bharathiar University; Master’s in Foreign Trade from Pondicherry University; and PhD in Finance from Anna University. Previously, he was Assistant Professor at Bharathidhasan Institute of Management, Trichy. Prof. Kannadhasan’s research work has appeared in numerous journals of repute, including the International Review of Economics and Finance, Journal of Behavioural and Experimental Finance, Emerging Markets Review, Finance Research Letters, International Journal of Managerial Finance, Applied Economics Letters, and The North American Journal of Economics and Finance. He has also published cases with Ivey Publishing, Canada, and is listed in Harvard Business Publishing Education. He has also authored a book and three monographs. Dr Kannadhasan attended the 'Global Colloquium on Participant Centered Learning’ and 'Case Writing Workshop’ held at Harvard Business School in 2012 and 2014, respectively. He is the recipient of ‘Best Professor in Financial Management’ at the 4th Asia’s Best B-Schools Awards in 2013 from the CMO Asia with CMO Council in Singapore and the USA. He is also the recipient of 'Best Researcher of the Year in Finance’ in 2019 from the RULA Awards, powered by World Research Council and United Medical Council. Bharat Vikas Award was conferred to him in 2019 for excellence in the finance domain.

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