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Fundamentals of Financial Instruments

Fundamentals of Financial Instruments PDF Author: Sunil Parameswaran
Publisher: John Wiley & Sons
ISBN: 0470824905
Category : Business & Economics
Languages : en
Pages : 560

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Book Description
bonds --

Fundamentals of Financial Instruments

Fundamentals of Financial Instruments PDF Author: Sunil Parameswaran
Publisher: John Wiley & Sons
ISBN: 0470824905
Category : Business & Economics
Languages : en
Pages : 560

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Book Description
bonds --

The Handbook of Financial Instruments

The Handbook of Financial Instruments PDF Author: Frank J. Fabozzi
Publisher: John Wiley & Sons
ISBN: 0471445606
Category : Business & Economics
Languages : en
Pages : 864

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Book Description
An investor's guide to understanding and using financial instruments The Handbook of Financial Instruments provides comprehensive coverage of a broad range of financial instruments, including equities, bonds (asset-backed and mortgage-backed securities), derivatives (equity and fixed income), insurance investment products, mutual funds, alternative investments (hedge funds and private equity), and exchange traded funds. The Handbook of Financial Instruments explores the basic features of each instrument introduced, explains their risk characteristics, and examines the markets in which they trade. Written by experts in their respective fields, this book arms individual investors and institutional investors alike with the knowledge to choose and effectively use any financial instrument available in the market today. John Wiley & Sons, Inc. is proud to be the publisher of the esteemed Frank J. Fabozzi Series. Comprising nearly 100 titles-which include numerous bestsellers—The Frank J. Fabozzi Series is a key resource for finance professionals and academics, strategists and students, and investors. The series is overseen by its eponymous editor, whose expert instruction and presentation of new ideas have been at the forefront of financial publishing for over twenty years. His successful career has provided him with the knowledge, insight, and advice that has led to this comprehensive series. Frank J. Fabozzi, PhD, CFA, CPA, is Editor of the Journal of Portfolio Management, which is read by thousands of institutional investors, as well as editor or author of over 100 books on finance for the professional and academic markets. Currently, Dr. Fabozzi is an adjunct Professor of Finance at Yale University's School of Management and on the board of directors of the Guardian Life family of funds and the Black Rock complex of funds.

Taxation of Hybrid Financial Instruments and the Remuneration Derived Therefrom in an International and Cross-border Context

Taxation of Hybrid Financial Instruments and the Remuneration Derived Therefrom in an International and Cross-border Context PDF Author: Sven-Eric Bärsch
Publisher: Springer Science & Business Media
ISBN: 3642324576
Category : Business & Economics
Languages : en
Pages : 390

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Book Description
Despite the enormous diversity and complexity of financial instruments, the current taxation of hybrid financial instruments and the remuneration derived therefrom are characterized by a neat division into dividend-generating equity and interest-generating debt as well as by a coexistence of source- and residence-based taxation. This book provides a comparative analysis of the classification of hybrid financial instruments in the national tax rules currently applied by Australia, Germany, Italy and the Netherlands as well as in the relevant tax treaties and EU Directives. Moreover, based on selected hybrid financial instruments, mismatches in these tax classifications, which lead to tax planning opportunities and risks and thus are in conflict with the single tax principle, are identified. To address these issues, the author provides reform options that are in line with the dichotomous debt-equity framework, as he/she suggests the coordination of either tax classifications or tax treatments.

7th Annual Fundamentals of Finance for Lawyers : a Two-day Intensive Workshop Designed to Provide a Fundamental Understanding of Financial Concepts, how Financial Markets Function and the Use of Financial Instruments in Today's Business Environment

7th Annual Fundamentals of Finance for Lawyers : a Two-day Intensive Workshop Designed to Provide a Fundamental Understanding of Financial Concepts, how Financial Markets Function and the Use of Financial Instruments in Today's Business Environment PDF Author: Canadian Institute (1985- )
Publisher:
ISBN: 9781551830995
Category : Capital market
Languages : en
Pages :

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An Introduction to Financial Markets and Institutions

An Introduction to Financial Markets and Institutions PDF Author: Maureen Burton
Publisher: Routledge
ISBN: 1317476743
Category : Business & Economics
Languages : en
Pages : 700

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Book Description
Completely revised and updated to include the ongoing financial crisis and the Obama administration's programs to combat it, this is the best available introductory textbook for an undergraduate course on Financial Markets and Institutions. It provides balanced coverage of theories, policies, and institutions in a conversational style that avoids complex models and mathematics, making it a student-friendly text with many unique teaching features. Financial crises, global competition, deregulation, technological innovation, and growing government oversight have significantly changed financial markets and institutions. The new edition of this text is designed to capture the ongoing changes, and to present an analytical framework that enables students to understand and anticipate changes in the financial system and accompanying changes in markets and institutions. The text includes Learning Objectives and end-of-chapter Key Words and Questions, and an online Instructor's Manual is available to adopters.

Commodity Procurement with Operational and Financial Instruments

Commodity Procurement with Operational and Financial Instruments PDF Author: Jan Arnold
Publisher: Springer Science & Business Media
ISBN: 3834986542
Category : Business & Economics
Languages : en
Pages : 152

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Book Description
Jan Arnold integrates financial and operational aspects into a holistic approach to commodity procurement. He shows how to combine operational strategies considering just-in-time procurement, inventory holding and backlogging with financial strategies considering derivative instruments into an optimal procurement plan under volatile procurement prices.

Fundamentals of Investments

Fundamentals of Investments PDF Author:
Publisher:
ISBN: 9781405891189
Category : Electronic books
Languages : en
Pages :

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Book Description
"Fundamentals of Investments" is a concise, well thought-out and well written introduction to investments. It is devoted to understanding the complex capital market and the financial instruments that exist in the market. Recent years have witnessed a revolution in the field of finance and investment in the capital market, with the market becoming truly global. This book has been organized and written around the new developments and challenges facing the capital market, and addresses a very difficult subject in a logical manner. Part I of Fundamentals of Investments is devoted to the market environment and to a description of the various securities and how they are traded. Part II covers risk and return in the capital market with an emphasis on the gain or risk reduction due to diversification. Part III is devoted to bonds and stocks with an emphasis on valuation and management of these assets. Part IV covers derivatives, focusing on forwards, futures, and options. In Part V the analysis of risk-reduction due to diversification is expanded upon.

Fundamentals of Islamic Money and Capital Markets

Fundamentals of Islamic Money and Capital Markets PDF Author: Azmi Omar
Publisher: John Wiley & Sons
ISBN: 111850402X
Category : Business & Economics
Languages : en
Pages : 256

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Book Description
The first comprehensive guide to Islamic financial markets Based on the course taught at the International Islamic University Malaysia, this is the first book on Islamic finance to focus exclusively on money and capital markets. Covering basic concepts as well as current practices in Islamic financial markets, the book features case studies from real markets. It outlines the theory of money in terms of value, supply, and demand, while explaining the Islamic capital markets in terms of classifications, types of operations, valuations of securities, Islamic unit trust, ETFs, Islamic stock broking, and much more. Written by experts from the International Islamic University Malaysia, the leading organisation in research in Islamic finance The first guide to Islamic finance focused solely on money and capital markets An excellent introduction to money market principles for students in Islamic banking and finance, as well as researchers and current practitioners, Fundamentals of Islamic Money and Capital Markets is a vital resource on the subject.

Hybrid Securities

Hybrid Securities PDF Author: Kamil Liberadzki
Publisher: Springer
ISBN: 113758971X
Category : Business & Economics
Languages : en
Pages : 224

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Book Description
Hybrid capital securities or 'hybrids' offer various benefits. They offer flexibility equity without shareholder dilution, provide protection to senior creditors, are a stable source of long-term funding for healthy companies, and help insurers and banks meet regulatory and rating agency capital requirements. Risks and features of hybrid securities are expressed in the credit spread of some relatively new financial instruments, but no structural fundamentals exist for to price hybrids precisely. This book proposes a model for the pricing of hybrids. It begins by explaining the concept of hybrids as well as their equity- and debt-like characteristics. Different types of hybrids are presented, including preference shares, convertible bonds, contingent convertibles (CoCos) and bail-in bonds. The authors then present analysis of regulatory regimes' impact on hybrids. They discuss the types of hybrid bonds that are contemplated in the Capital Requirements Regulation (CRR) and Banking Union mechanism. They then present an in-depth examination of hybrids pricing and risk assessment techniques. The book provides a comprehensive analysis from mathematical, legal and financial perspectives in order to look at relatively new financial instruments and address problems with the pricing models of hybrids which are as yet unsolved.

FUNDAMENTALS OF FINANCIAL DERIVATIVES, 2ND ED (With CD )

FUNDAMENTALS OF FINANCIAL DERIVATIVES, 2ND ED (With CD ) PDF Author: N. R. Parasuraman
Publisher:
ISBN: 9788126520756
Category : Derivative securities
Languages : en
Pages : 332

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Book Description
Market_Desc: Primary Market: Students, B-schools all over the country. This is a Finance elective in all B-schoolsSecondary Market: Traders, practitioner, stock exchange regulators, share brokers and new investors Special Features: Ø Excellent introductory book on the subject.Ø Covers all commonly used derivatives.Ø Gives a number of real-world examples from the Indian market on various uses of derivatives.Ø Uses simple illustrations for all concepts.Ø Includes a large number of self-test quizzes and solved problems.Besides these important features from the first edition, the second edition containsØ Additional examples from the practical world of Futures and Options.Ø A new chapter on Real Options.Ø New sections on Portfolio Insurance and FEX Derivatives.Ø To help the students to understand the concepts better, a question bank containing frequently asked questions on derivatives and suggested answers thereto have been included.Ø A CD packaged that includes:· Power Point presentations of all the chapters.· Excel sheets showing analysis of derivatives of select companies from the Indian stock markets.· MS excel-based Black-Scholes calculator. § MS excel-based Black-Scholes calculator showing step-wise calculations. About The Book: This book has been primarily intended for the newcomer to the world of Derivatives. The aim is to provide a different approach to the learning of the complex instruments because many students and practitioners find Financial Derivatives too complex to understand in the beginning. The book deals with the basic techniques of risk management and derivatives. Encouraged by the overwhelming success of the first edition, the second edition has been brought out. The book figured in the top 10 management bestsellers of Business World (August 8, 2009). In response to the request by students, more practical examples have been included in the 2nd edition. Also, a chapter on the widely popular concept of Real Options has been included as also sections on Portfolio Insurance and FEX Derivatives. To help the students to understand the concepts better, a question bank containing frequently asked questions on derivatives and suggested answers thereto has been included.Highlights of the Second EditionThe text has been written in a simple style with solved examples. Complex mathematical derivations havebeen kept out, without hampering the learning process. The other key features of the book are:1. Simple, concise narrative.2. Learning objectives appearing at the beginning of each chapter provide an overview of the specific chapter.3. Plenty of examples of various instruments and their uses to lay emphasis on practical understanding.4. Practical examples from the Indian Derivatives markets.5. Questions provided at the end of each chapter are divided into Objective-Type Exercises (multiple-choice and With CD - questions) and Review Questions.6. Frequently asked questions on derivatives with answers provided at the end of the book.7. Glossary detailing all the essential terms in derivatives.8. Bibliography consists of references for further reading.9. Index provides the page references for the different key words used in the chapters.Companion CD contains:1. PowerPoint presentations of all the chapters2. Excel sheets showing analysis of derivatives of select companies from the Indian stock markets.3. MS excel-based Black-Scholes calculator.4. MS excel-based Black-Scholes calculator showing step-wise calculations.