Trading the Fixed Income, Infl


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Description

"In this book, the authors give an applied approach to relative value techniques, showing readers how to decide on the best place to put their money in order to get the best return. They cover multiple asset classes -- fixed income, commodities and equities although the main focus is fixed income. They cover products that are rarely documented such as CMS floaters and structured interest and credit products"--

Author: Neil C. Schofield, Troy Bowler
Publisher: Wiley
Published: 10/17/2011
Pages: 312
Binding Type: Hardcover
Weight: 1.51lbs
Size: 10.12h x 6.78w x 0.90d
ISBN13: 9780470742297
ISBN10: 0470742291
BISAC Categories:
- Business & Economics | Investments & Securities | General

About the Author
NEIL C. SCHOFIELD is the principal of FMT Ltd, a UK-based company offering training services in the areas of treasury, derivatives, capital markets and risk management to financial institutions, central banks and corporations worldwide. Neil was Global Head of Financial Markets Training at Barclays Capital from 2001 to 2008. He teaches primarily on the rates business, covering all of the major asset classes and their respective derivative products from foreign exchange through to commodities. Before joining Barclays Capital, he was a director at Chisholm-Roth Training for 4 years, where he was responsible for provision of training services for a number of blue chip global investment banks. Clients included Citigroup, Deutsche Bank, Goldman Sachs and JP Morgan Chase. He started his training career at Chase Manhattan Bank, where he was originally employed as an internal auditor. Over a period of nine years, he conducted numerous internal and external training seminars including the Bank of England and the Federal Reserve System in the USA. He has also held positions with Security Pacific Hoare Govett (now trading as Bank of America) and Lloyds TSB. Neil holds a B.Sc. in Economics from Loughborough University and an MBA from Manchester Business School. He was elected as a Fellow of the IFS School of Finance (formerly the Chartered Institute of Bankers) in 1999. Neil was appointed as a Visiting Fellow at the University of Reading ICMA centre in April, 2007. He is author of the book Commodity Derivatives: Markets and Applications published by John Wiley & Sons, Ltd in October 2007.

TROY BOWLER joined Barclays Capital in London in 2002 and is currently a Managing Director within Distribution, based in Singapore. Before joining Barclays Capital, he held positions at Deutsche Bank in London, where he was part of their highly-regarded global fixed income and relative value research team; PaineWebber; and Bank of Tokyo Capital Markets (UK), where he was Chief Economist; and Charterhouse Investment Management Limited, where he managed money-market funds, including the #1 ranked GBP unit trust according to Micropal (acquired by The McGraw-Hill Companies in 1997). He is a former member of the Institute of Investment Management and Research (IIMR), now known as CFA UK, Examination Committee where he helped revamp the IIMR's examinations - widening the remit to encompass fixed income professionals as opposed to focussing almost exclusively on equity markets. Troy holds a B.Sc. in Economics from Loughborough University and an M.Sc. in Economics from London University.

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