Bibliografia

Principal

  • 3. Choudhry, M. (2001). The Bond and Money Markets: Strategy, Trading, Analysis. Butterworth-Heinemann 2. Veronesi, P. (2011). Fixed income securities: valuation, risk, and risk management. John Wiley & Sons. 1. Martellini, L., Priaulet, P. e Priaulet, S. (2003). Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies. John Wiley & Sons.:

Secundária

  • 8. Tuckman, Bruce (2002). Fixed Income Securities: Tools for Today?s Markets. 2nd ed (University Edition), Wiley Finance 7. Sundaresan, Suresh (2001). Fixed Income Markets and Their Derivatives. 2ª ed Southwestern 6. Fabozzi, Frank J., 2007, ?Bond Markets, Analysis and Strategies?, 7th Ed., Prentice-Hall International Ed., Englewood Cliffs, New Jersey. 5. Bravo, J. M. (2001). Modelos de Risco de Taxa de Juro: Estratégias de Cobertura e Imunização. Dissertação de Mestrado em Economia Monetária e Financeira, ISEG-UTL. 4. Albuquerque, Carlos António Torroaes (1996). Análise e Avaliação de Obrigações. Rei dos Livros, Lisboa: