Description

Book Synopsis
Euro Bonds: Markets, Infrastructure and Trends presents the most recent developments in the Euro bond market. It discusses the problems of the Euro countries, the proposed solutions advocated by European as well as international institutions and investors. Particular emphasis is given to systemic risk and contagion as well as to specific innovative instruments such as structured financial products which protect various classes of investors.This self-contained title provides an organized and comprehensive overview of the current financial situation in Europe and accords the reader the opportunity to understand fully what is happening in the Euro financial market today, as well as some of the possible exit strategies from the crisis. It may be used as an advanced textbook by postgraduate students as well as ambitious undergraduates in finance and economics. It is also useful for non-experts in finance who wish to have an overview of problems in the Euro zone.

Table of Contents
Overview: Trends and Developments in the Euro Bond Market; Systemic Risk and Stability Bonds; Bond Market Infrastructure; Credit Rating Agencies and Relative Announcements; Securitization Market; Market Bond Products; Credit Derivatives Market.

Euro Bonds: Markets, Infrastructure And Trends

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    Order before 4pm today for delivery by Tue 23 Jun 2026.

    A Hardback by Marida Bertocchi, Giorgio Consigli, Rosella Giacometti

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      View other formats and editions of Euro Bonds: Markets, Infrastructure And Trends by Marida Bertocchi

      Publisher: World Scientific Publishing Co Pte Ltd
      Publication Date: 14/11/2013
      ISBN13: 9789814440158, 978-9814440158
      ISBN10: 9814440159

      Description

      Book Synopsis
      Euro Bonds: Markets, Infrastructure and Trends presents the most recent developments in the Euro bond market. It discusses the problems of the Euro countries, the proposed solutions advocated by European as well as international institutions and investors. Particular emphasis is given to systemic risk and contagion as well as to specific innovative instruments such as structured financial products which protect various classes of investors.This self-contained title provides an organized and comprehensive overview of the current financial situation in Europe and accords the reader the opportunity to understand fully what is happening in the Euro financial market today, as well as some of the possible exit strategies from the crisis. It may be used as an advanced textbook by postgraduate students as well as ambitious undergraduates in finance and economics. It is also useful for non-experts in finance who wish to have an overview of problems in the Euro zone.

      Table of Contents
      Overview: Trends and Developments in the Euro Bond Market; Systemic Risk and Stability Bonds; Bond Market Infrastructure; Credit Rating Agencies and Relative Announcements; Securitization Market; Market Bond Products; Credit Derivatives Market.

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