Credit union investment management

Bibliographic Information

Credit union investment management

Frank J. Fabozzi and Mark B. Wickard

Frank J. Fabozzi Associates, c1997

Available at  / 3 libraries

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Note

Includes references and index

Description and Table of Contents

Description

Credit Union Investment Management provides an in-depth examination of the methods executives use to achieve investment objectives and maximize returns on invested capital, while measuring and minimizing risk. Complete coverage includes: detailed features of investment vehicles, yield measures and their limitations, total return analysis, and stress testing.

Table of Contents

Preface. 1. Introduction. 2. Features of Investment Vehicles. 3. Money Market Instruments. 4. Bonds and Other Non-Mortgage-Related Products. 5. Mortgage Passthrough Securities. 6. Collateralized Mortgage Obligations. 7. Prepayment Models and CMO Testing. 8. Valuation of Fixed Income Securities. 9. Yield Measures and Their Limitations. 10. Meauring Interest Rate Risk. 11. Total Return Analysis and Stress Testing. 12. Overview of Investment Strategies. Appendix: Time Value of Money. Index.

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Details

  • NCID
    BA35032051
  • ISBN
    • 1883249139
  • Country Code
    us
  • Title Language Code
    eng
  • Text Language Code
    eng
  • Place of Publication
    New Hope, Pennsylvania
  • Pages/Volumes
    viii, 241 p.
  • Size
    23 cm
  • Classification
  • Subject Headings
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