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Handbook of investable world bond markets: yield & risk analysis

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Date
2016
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Abstract
This book identifies how the major and some minor bond markets reacted to interest rate increases and decreases over the recent few years. As every investor knows excessive borrowings relative to the ability to service loans constitute sovereign debt crisis, and it is not limited only to developing countries as shown by the fall in bond values of profligate borrowers such as the Greece. This book is on the pricing of sovereign debt in 17 bond markets across the developed world, ones that have received most of the investors' money as investments.
Keywords
Bond markets , Bonds
Citation
Ariff, M., Cheng, F. F., & Ramadili Mohd, S. M. (2016). Handbook of investable world bond markets: yield & risk analysis. Serdang, Selangor: Universiti Putra Malaysia Press.
Publisher
Universiti Putra Malaysia Press

Available in physical copy only (Call Number: HG 4651 M697H)

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