With this book, Fatih AK delivers a work that is both accessible and rigorous, deeply rooted in the current challenges of the bond markets. In a context where security, predictable returns, and portfolio diversification are top priorities, government bonds stand out as essential instruments for both cautious individual investors and institutional players. This book is intended for anyone seeking to master the mechanics of these renowned stable securities. Curious beginners and seasoned professionals alike will find concrete keys to understanding and refining their strategies in the field of fixed income. The author clearly explains the fundamental concepts: bond structure, yield curves, spreads, credit ratings, duration, convexity, interest rate risk management, as well as hybrid instruments such as CoCos and convertible bonds. You will discover how to: ¿ Identify the key features of sovereign bonds ¿ Calculate their real yield and understand how rates are formed ¿ Integrate government bonds into a balanced wealth strategy ¿ Analyze the impact of economic & monetary policies on their valuation ¿ Study issuer cases such as the United States, the Eurozone, or Japan ¿ Use advanced analytical tools such as the Z-spread, bootstrapping, and key rate duration This timeless handbook offers a comprehensive overview of the strategic role of government bonds in building a solid long-term portfolio. It serves as a practical guide for generating regular income, preparing for retirement, or securing capital without sacrificing performance.
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