Emerging Bond Markets

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A01=Qaiser Munir
A01=Tamara Teplova
A01=Tatiana V. Sokolova
Author_Qaiser Munir
Author_Tamara Teplova
Author_Tatiana V. Sokolova
Bond Funds
Bond Indices
Bond Market
Category=KCL
Category=KFFL
Category=KFFM
Category=KNS
CB Spread
Corporate Bond Market
Corporate Bonds
credit risk modelling
Domestic Bond Market
Emerging Bond Markets
emerging economies
emerging economies investment
Emerging Market
Emerging Market Bonds
Emerging Market Debt
empirical bond market research
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
ETF
financial market forecasting
Financial Securities
fixed income securities
GARCH
GARCH Model
Gdp Growth
Gdp Growth Rate
GMM Model
Government Bond Markets
High Yield Bonds
Key Rate
Liquidity Indicators
National Bond Market
Non-financial Sector
OLS Regression
portfolio diversification strategies
Real Gdp Growth Rate
sovereign debt analysis
Stock Index
VIX Volatility Index
well-balanced financial market
Yield Spread

Product details

  • ISBN 9780367503970
  • Weight: 1040g
  • Dimensions: 156 x 234mm
  • Publication Date: 26 Oct 2020
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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The bond market is a key securities market and emerging economies present exciting, new investment opportunities. This timely book provides insights into these emerging bond markets through empirical models and analytical databases, i.e. Bloomberg, Eikon Refinitiv and the Russian Cbonds.

The book looks at the dynamics of the development of emerging bond markets, their competitiveness, features and patterns using macro and micro level data. It also takes into consideration various securities type i.e. government, corporate, sub-federal and municipal bonds, to identify respective challenges and risks. The book also analyses factors that may inhibit or stimulate a well-balanced financial market. It includes case studies of Asian, Latin American and Russian bond markets, as also as cross-country comparisons.

It will be a useful reference for anyone who is interested to learn more of the bond market and the modelling techniques for critical data analysis.

Tamara Teplova joined HSE (Moscow, Russia) in 1993. HSE is one of the top-300 universities in the world. Dr Teplova is the head of the master program ‘Financial markets and institutions’ and the author of 11 papers in impact factor Scopus journals. She is the head of research projects initiated by government agencies and investment companies.

Tatiana V. Sokolova is a senior lecturer of HSE. Her research interest is financial economics. Dr Sokolova has published some papers in reputable Scopus journals. She is the co-author of two monographs on bond markets (in Rus.). She successfully participated in research projects initiated by the Ministries of the Russian Federation.

Qaiser Munir is a Professor and Director, Center for Business and Economic Research (CBER) at IBA Karachi, Pakistan. He is also a member of Research Studies Evaluation and Review Committee, Ministry of Planning Development and Reform. Prior to joining IBA, he was associated with Universiti Malaysia Sabah (UMS) for ten years as a faculty member.

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