WorldCat Identities

Choudhry, Moorad

Overview
Works: 82 works in 666 publications in 4 languages and 21,717 library holdings
Genres: Handbooks and manuals 
Roles: Author, Editor, Contributor
Classifications: HG4651, 332.632
Publication Timeline
.
Most widely held works by Moorad Choudhry
Fixed-income securities and derivatives handbook : analysis and valuation by Moorad Choudhry( Book )

30 editions published between 2004 and 2013 in English and Undetermined and held by 330 WorldCat member libraries worldwide

"In Fixed-Income Securities and Derivatives Handbook, respected practitioner Moorad Choudhry provides a concise and accessible overview of the main elements of the markets, the techniques used, and their applications. Covering a wide range of market instruments, the book will acquaint you with both simple and complex products and the mathematics behind them."--Jacket
Capital market instruments : analysis and valuation by Moorad Choudhry( Book )

42 editions published between 2001 and 2010 in English and Undetermined and held by 322 WorldCat member libraries worldwide

"This is an updated guide to some of the most important issues in the capital markets today. Fundamental concepts in equity market analysis, foreign exchange and money markets are also covered to provide a comprehensive overview. The book includes an accompanying CDROM with RATE software, designed to introduce readers to yield curve modelling"Provided by publisher
An introduction to credit derivatives by Moorad Choudhry( Book )

31 editions published between 2004 and 2013 in English and Undetermined and held by 297 WorldCat member libraries worldwide

"This book is an accessible introduction to the various types of credit derivative instruments traded in the markets today. Products are described with the help of worked examples and Bloomberg screens."--Jacket
Introduction to structured finance by Frank J Fabozzi( Book )

15 editions published in 2006 in English and French and held by 254 WorldCat member libraries worldwide

"Created by the experienced author team of Frank Fabozzi, Henry Davis, and Moorad Choudhry, Introduction to Structured Finance examines the essential elements of this discipline. It is a convenient reference guide--which covers all the important transaction types in one place--and an excellent opportunity to enhance your understanding of finance."--Publisher's website
Structured credit products : credit deriatives and synthetic securitization by Moorad Choudhry( Book )

28 editions published between 2004 and 2013 in English and held by 247 WorldCat member libraries worldwide

"A very high-quality account of the most dynamic and exciting sector in the financial markets today. This should be the first choice for students and practitioners alike. "--Dr Chee Hau, EMEA Structured Finance Services, JPMorgan Chase Bank "Moorad Choudhry is a recognised expert in the field of credit derivatives and synthetic structures, and he shows us why yet again with this book. Highly recommended. "--Abukar Ali, Product Training Group, Bloomberg L. P. "As an important, and ever-growing, part of the capital markets, credit derivatives and synthetic structured products have featured strongly in the recent financial markets literature. This book is set to become the number 1 in its field. Comprehensive but lucid, highly detailed and well illustrated, this book is a must-buy for bankers, fund managers and indeed anyone with an interest in this subject. "--Dr Didier Joannas, Sungard
An introduction to bond markets by Moorad Choudhry( Book )

26 editions published between 1999 and 2013 in English and held by 245 WorldCat member libraries worldwide

"The bond markets are a vital part of the world economy. The fourth edition of Professor Moorad Choudhry's benchmark reference text An Introduction to Bond Markets brings readers up to date with latest developments and market practice, including the impact of the financial crisis and issues of relevance for investors. This book offers a detailed yet accessible look at bond instruments, and is aimed specifically at newcomers to the market or those unfamiliar with modern fixed income products. The author capitalises on his wealth of experience in the fixed income markets to present this concise yet in-depth coverage of bonds and associated derivatives. Topics covered include: Bond pricing and yield Duration and convexity Eurobonds and convertible bonds Structured finance securities Interest-rate derivatives Credit derivatives Relative value trading. Related topics such as the money markets and principles of risk management are also introduced as necessary background for students and practitioners. The book is essential reading for all those who require an introduction to the financial markets"--
The global money markets by Frank J Fabozzi( Book )

8 editions published between 2002 and 2003 in English and held by 197 WorldCat member libraries worldwide

An informative look at the world of short-term investing and borrowing, The Global Money Markets is the authoritative source on short-term investing and borrowing-from instruments in the U.S. and U.K., to asset-liability management. It also clearly demonstrates the various conventions used for money market calculations and discusses other short-term structured financial products such as asset-backed securities and mortgage-backed securities
Corporate bonds and structured financial products by Moorad Choudhry( Book )

22 editions published between 2004 and 2008 in English and held by 187 WorldCat member libraries worldwide

This book is a detailed account of the instruments that are used in the corporate bond markets, from conventional "plain vanilla" bonds to hybrid instruments and structured products. There is background information on bond pricing and yield, as well as a detailed look at the yield curve. The book covers the full set of instruments used by companies to raise finance, and which are aimed at a wide range of investors. It also discusses the analysis of these instruments. Topics covered include: *Bond basics *The yield curve *Callable bonds *Convertible bonds *Eurobonds *Warrants *Commercial paper *Corporate bonds credit analysis *Securitisation *Asset-backed securities *Mortgage-backed securities *Collateralised Debt Obligations *Synthetic CDOs Written by one of the leading names in the fixed income markets today, this book should prove to be an invaluable reference guide for all those with an interest in corporate bond markets, whether as practitioners, consultants or researchers. * Covers every major aspect of corporate credit markets * Features bond instruments as well as aspects of bond analysis * Covers conventional bonds as well as securitisation and structured financial products
An introduction to banking : liquidity risk and asset-liability management by Moorad Choudhry( Book )

18 editions published between 2011 and 2013 in English and held by 185 WorldCat member libraries worldwide

This book introduces the key concepts of banking, concentrating on the application of robust risk management principles from a practitioner viewpoint, and how to incorporate these principles into bank strategy. Detailed coverage includes: Bank strategy and capital, Understanding the yield curve, Principles of asset-liability management, Effective liquidity risk management, The role of the bank ALM committee. Written in the author's trademark accessible style, this book is a succinct and focused analysis of the core principles of good banking practice
Measuring and controlling interest rate and credit risk by Frank J Fabozzi( Book )

10 editions published in 2003 in English and held by 180 WorldCat member libraries worldwide

Measuring and Controlling Interest Rate and Credit Risk, Second Edition offers a systematic evaluation of how to measure and control the interest rate risk and credit risk of a bond portfolio or trading position under various financial conditions. Financial experts Frank Fabozzi, Steven Mann, and Moorad Choudhry clearly define and illustrate interest rate risk and credit risk using practical examples with market data. These experts also discuss various hedging instruments, including futures contracts, interest rate swaps, exchange-traded options, OTC options, and credit derivatives
The Repo handbook by Moorad Choudhry( Book )

32 editions published between 2001 and 2010 in English and Undetermined and held by 178 WorldCat member libraries worldwide

The Repo Handbook, 2ndedition presents an overview of repo vehicles and markets with sufficient depth for those seeking detailed explanations. In three parts it demonstrates how these secured loans fit into global capital markets and why they account for up to 50% of daily settlement activity in non-US government bonds worldwide. This new edition replacesnbsp, old examples and introduces new developments, such as structured finance repo and associated topics such as Basel II regulatory rules. In addition, nbsp,12 of 18 chapters feature new sections andnbsp,4 have been substantially rewritten. The UK gilt and US Treasury repo markets are explored through worked examples, and there are new sections on funding arbitrage trades, risk exposures, and regulatory capital.nbsp, Itnbsp, also places repo in context within bank asset-liability management and trading techniques, illustrating repo use across a wide range of applications in the global money markets.nbsp, Rarely mentioned in the financial press because of the simple, straightforward nature of the instrument, repo was often the only funding source available to banks during the last quarter of 2008 and the first in 2009. This book, written by a trader, will draw new attention to this valuable and efficient funding and investment product. * Describes repo instruments, which appeal to market participants because of their simplicity and malleability* Explains the institutional treatment of repos, especially in terms of risk, accounting, tax and legal issues, and equity repo* Details the government bond basis, implied repo rate, and basis trading
The handbook of European fixed income securities by Frank J Fabozzi( Book )

14 editions published between 2003 and 2004 in English and held by 177 WorldCat member libraries worldwide

Presents coverage of various aspects of the European fixed income markets and their derivatives. This book covers both developed markets such as the UK, France, Germany, Italy, Spain, and Holland, as well as emerging markets in Eastern Europe
Corporate bond markets : instruments and applications by Moorad Choudhry( Book )

14 editions published between 2005 and 2013 in English and held by 177 WorldCat member libraries worldwide

Suitable for those connected with the corporate debt markets, be they issuer, investor or trader, this book provides data and insight on the market products and techniques. It gives practitioners a global perspective on the bond markets and practical aspects of issuance and investment
The handbook of European structured financial products by Moorad Choudhry( Book )

12 editions published in 2004 in English and held by 172 WorldCat member libraries worldwide

"The Handbook of European Structured Financial Products" offers readers comprehensive coverage of the securitization market in Europe. It covers all asset classes, including asset-backed and mortgage-backed securities, plus re-pack (re-packaged security) structures and collateralized debt obligations (CDOs). This book describes and analyses each class of security from an investor's point of view, including ratings analysis and relative value. The contributors also discuss pricing and valuation
Analysing and interpreting the yield curve by Moorad Choudhry( Book )

17 editions published between 2004 and 2013 in 3 languages and held by 158 WorldCat member libraries worldwide

"The yield curve is the defining indicator of the global dedt capital markets, and an understanding of it is vital to the smooth running of the economy as a whole. All participants in the market, be they issuers of capital, investors or banking intermediaries, will have a need to estimate, interpret and understand the yield curve. Fund managers that accurately predict the shape and direction of the curve will consistently outperform those that do not."--Jacket
Advanced fixed income analysis by Moorad Choudhry( Book )

32 editions published between 2004 and 2015 in English and Undetermined and held by 152 WorldCat member libraries worldwide

This book is aimed at experienced practitioners in the corporate bond markets and is a specialised text for investors and traders. The author relates from both personal experience as well as his own research to bring together subjects of practical importance to bond market practitioners. He introduces the latest techniques used for analysis and interpretation, including:Relative value tradingApproaches to trading and hedgingDynamic analysis of spot and forward ratesInterest rate modellingFitting the yield curveAnalysing the long bond yieldIndex-linked bond analyticsCorporate bond defaults
An introduction to value-at-risk by Moorad Choudhry( Book )

31 editions published between 1999 and 2013 in English and Undetermined and held by 147 WorldCat member libraries worldwide

The value-at-risk measurement methodology is a widely-used tool in financial market risk management. The fourth edition of Professor Moorad Choudhry's benchmark reference text An Introduction to Value-at-Risk offers an accessible and reader-friendly look at the concept of VaR and its different estimation methods, and is aimed specifically at newcomers to the market or those unfamiliar with modern risk management practices. The author capitalises on his experience in the financial markets to present this concise yet in-depth coverage
Derivative instruments : a guide to theory and practice by Brian Anthony Eales( Book )

20 editions published between 2002 and 2003 in English and Undetermined and held by 118 WorldCat member libraries worldwide

This book combines theory with valuation to provide overall coverage of the topic area. It also provides worked examples and spreadsheet models on CD-ROM to help readers understand derivative instruments and their uses
The credit default swap basis by Moorad Choudhry( Book )

9 editions published between 2006 and 2012 in English and held by 87 WorldCat member libraries worldwide

The mechanics of securitization : a practical guide to structuring and closing asset-backed security transactions by Moorad Choudhry( Book )

18 editions published between 2011 and 2013 in English and Undetermined and held by 68 WorldCat member libraries worldwide

While securitization is a well established practice N in the global debt capital markets. And while the market in structured finance securities was hit hard by the 2007 2008 financial crisis-when investors shunned asset backed securities-interest in securitization has resumed as the global economy recovers. This book is an accessible and practitioner oriented look into what is required to successfully structure and close asset backed security transactions in today's complex financial markets. The text is aimed at practitioners in structured finance who are involved with originating, structuring, or arranging securitization transactions. It addresses the necessary tasks for commercial banks that are interested in closing a securitization of assets off their own balance sheet or a third party balance sheet whether these assets are corporate loans, mortgages, credit card loans, or other more esoteric "future flow" cash receivables. The text is aimed at providing a step by step guide to the process undertaken to arrange, structure, and close a securitization deal, and includes insights on the rating agency and legal review requirements. The template used applies to cash transactions in asset backed securities, mortgage backed securities, and corporate loan deals. Details of a cash flow waterfall model are also discussed. Using an actual securitization transaction as its background, the book also features a series of checklists and pro forma documents to illustrate the process of structuring a typical loan ABS or CLO transaction
 
moreShow More Titles
fewerShow Fewer Titles
Audience Level
0
Audience Level
1
  Kids General Special  
Audience level: 0.29 (from 0.05 for An introdu ... to 0.62 for Capital ma ...)

Introduction to structured finance
Alternative Names
ショウドリー, モーラッド

Languages
Covers
Capital market instruments : analysis and valuationAn introduction to credit derivativesIntroduction to structured financeStructured credit products : credit deriatives and synthetic securitizationAn introduction to bond marketsThe global money marketsCorporate bonds and structured financial productsAn introduction to banking : liquidity risk and asset-liability management