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The End of the Risk Free Rate : Investing When Structural Forces Change Government Debt - Ben Emons

The End of the Risk Free Rate

Investing When Structural Forces Change Government Debt

By: Ben Emons

Hardcover Published: 18th June 2013
ISBN: 9780071819527
Number Of Pages: 224

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A PIMCO VP explains why government debt is no longer 'risk free,' the trickle-down effect this has on markets, and how investors can protect their money accordingly

  • Once seen as eminently stable, government bonds and Treasury bills are now considered volatile instruments with credit risk characteristics
  • Emons helps readers invest wisely going forward by providing a detailed analysis of the structure of government bond markets and what past government debt restructurings have revealed for the future
  • Author of The Financial Domino Effect (0071799583), the author is regularly interviewed for his portfolio management expertise by The Wall Street Journal, Financial Times, and Reuters, and he is a frequent speaker at conferences and networking events, where he will promote the book

A Prelude: Financial Markets Finance ix Part I: End of the Risk-Free Rate 1 Chapter 1: The End of the Risk-Free Rate 3 Chapter 2: Puzzles 33 Chapter 3: A Way of Life 61 Part II: Investment Implications 97 Chapter 4: Some Quantifi cation 99 Chapter 5: Where and What to Invest In: The "Alternatives" 135 Chapter 6: Bubble Management 183 References 217 Index 223

ISBN: 9780071819527
ISBN-10: 0071819525
Series: Professional Finance & Investment
Audience: Professional
Format: Hardcover
Language: English
Number Of Pages: 224
Published: 18th June 2013
Publisher: McGraw-Hill Education - Europe
Country of Publication: US
Dimensions (cm): 24.0 x 16.0  x 2.0
Weight (kg): 0.47
Edition Number: 1

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