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Emerging Asian Fixed Income Markets

  • Authors
  • Erik Banks

Part of the Finance and Capital Markets book series (FCMS)

Table of contents

  1. Front Matter
    Pages i-x
  2. Erik Banks
    Pages 1-28
  3. Erik Banks
    Pages 29-52
  4. Erik Banks
    Pages 53-78
  5. Erik Banks
    Pages 79-110
  6. Erik Banks
    Pages 111-136
  7. Erik Banks
    Pages 137-170
  8. Erik Banks
    Pages 171-196
  9. Erik Banks
    Pages 197-222
  10. Erik Banks
    Pages 223-253
  11. Erik Banks
    Pages 254-284
  12. Erik Banks
    Pages 285-311
  13. Back Matter
    Pages 313-356

About this book

Introduction

The investor community is constantly looking for new sources of investment opportunity in the form of current income and capital gains. Much of the focus by fund managers, institutional investors and retail investors is currently on the global emerging markets of Asia where over $1 trillion of infrastructure and development projects will have to be funded over the next decade. In recent months, more institutions have been focusing on the fixed income markets, where returns have been impressive. The text from credit risk authority Erik Banks provides a detailed review of the emerging Asian fixed income markets and their primary instruments, along with a discussion of market participants, market mechanics and associated hedging and financing instruments.

Keywords

Asia capital Credit Risk development economy emerging markets fund hedging infrastructure institutions Investment mechanics science and technology

Bibliographic information

Industry Sectors
Finance, Business & Banking