Corporate Bond Trading Prices
Anyone know of a good website where I can find the market price of publicly traded corporate bonds?
Thanks in advance!
Yahoo Finance
|
|
Qlogic Corporation SB5800V-08A Switch & Bridge $2,451.09 |
|
|
Digital Equipment Corporation (DEC) RD53-A Drive Complete Refurb $790.00 |
|
|
Eaton Corporation – 81710 120 Volt Evolution 1550 V/A Rackmount (1U) $664.50 |
|
|
SCAN Corporation 6500A handheld OCR and BARCODE wand scanners $625.50 |
|
|
SCAN Corporation 6110A USB OCR and Barcode Slot reader $625.50 |
|
|
Scan Corporation 5133A OCR Scanner Slot Scanner Caere New $549.99 |
|
|
Eaton Corporation PW9355 transforming 1024025-A $299.00 |
|
|
New EATON Corporation Vickers MCV5-10-C-A-100-12T-25/ $324.99 |
|
|
Micro Micr Corporation Micrtjn39a Oem New Micr Toner Cartridge – Black – 18 000 $320.28 |
|
|
IRIS IRISCard Anywhere 4 Corporate – Sheetfed scanner – A6 – 300 dpi – US 457373 $311.99 |
|
|
PWB 112291 REV 03 109775 109725 REV A4 CORPORATION $299.00 |
|
|
Leveraged Finance: Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives (Frank J. Fabozzi Series) $43.44 A timely guide to today’s high-yield corporate debt markets Leveraged Finance is a comprehensive guide to the instruments and markets that finance much of corporate America. Presented in five sections, this experienced author team covers topics ranging from the basics of bonds and loans to more advanced topics such as valuing CDs, default correlations among CLOs, and hedging strategies across co… |
|
|
Option Trading Set-ups for Corporate Earnings News (Hardcover) $106.79 By trading on corporate earnings, investors can reliably profit in both up and down markets, while avoiding market risk for nearly the entire quarter. In this book, two leading traders and portfolio managers present specific, actionable techniques anyone can use to capture these sizable profits. Ping Zhou and John Shon have performed an unprecedented empirical analysis of thousands of stocks, reviewing tens of millions of data points associated with option prices, earnings announcement returns, and fundamentals. Their massive analysis has identified consistent opportunities associated with focusing on the magnitude of the market`s reaction to earnings, not its direction. Option Trading Set-Ups for Corporate Earnings News offers concrete guidance for improving the likelihood of making correct forecasts, and managing the risks of incorrect forecasts. It introduces several ways to exploit option trading opportunities around earnings news, discuss crucial issues that most retail investors haven`t considered, and explore aspects of earnings-related option trading that have never been empirically examined and documented before. For example, they identify hidden patterns and potential opportunities based on valuation, industry, volatility, analyst forecasts, seasonality, and trades that immediately follow earnings announcements. Simply put, trading on earnings reports offers immense profit opportunities, if you know how. This book provides incontrovertible facts and detailed strategies, not just theories and anecdotes! |
|
|
The Management of Bond Investments and Trading of Debt $179.44 Written for managers and professionals in business and industry, and using a minimum of mathematical language, The Management of Bond Investments and the Trading of Debt addresses three key issues: Bondholder s options, risks and rewards in making investments in debt instruments; The dynamics of inflation, and how they affect both trading in the bond market, and investment decisions; and The democratization of lending, socialization of risk, and effect of the global economy on the bond market. Financial expert Dimitris Chorafas discusses these issues in straightforward language for managers and professionals in commercial banks, securities houses, financial services companies, merchandising firms, manufacturing companies, and consulting firms, placing the mathematical treatment of the issues in the appendices, available for study but not necessary for understanding the business issues addressed in the book. Focuses on new issues of central importance in bond and debt trading today Uses clear, straightforward language for managers and professionals in business and industry, with mathematical treatment provided in appendices Thorough treatment of operational risk new to books on this topic Author: Chorafas, Dimitris N. Binding Type: Hardcover Number of Pages: 448 Publication Date: 2005/07/01 Language: English Dimensions: 9.54 x 6.76 x 0.98 inches |
|
|
The Handbook of Trading: Strategies for Navigating and Profiting from Currency, Bond, and Stock Markets by Gregoriou, Greg N. Edition ILL, 1 $87.99 Section One: Execution and Momentum Trading; Chapter 1. Performance Leakage and Value Discounts on the Toronto Stock Exchange; Chapter 2. Informed Trading in Parallel Auction and Dealer Markets: The Case of the London Stock Exchange; Chapter 3. Order Placement Strategies in Different Market Structures; Chapter 4. Momentum Trading for the Private Investor; Chapter 5. Trading in Turbulent Markets: Does Momentum Work; Chapter 6. The Financial Futures Momentum; Section Two: Technical Trading; Chapter 7. Profitability of Technical Trading Rules in an Emerging Market; Chapter 8. Testing Technical Trading Rules as Portfolio Selection Strategies; Chapter 9. Do Technical Trading Rules Increase the Probability of Winning: Empirical Evidence from the Foreign Exchange Market; Chapter 10. Technical Analysis in Turbulent Financial Markets: Does Nonlinearity Assist; Chapter 11. Profiting from the Dual Moving Average Cross-Over with Exponential Smoothing; Chapter 12. Shareholder Demands and the Delaware Derivative Action; Section Three: Exchange Traded Fund Strategies; Chapter 13. Leveraged Exchanged-Traded Funds and their Trading Strategies; Chapter 14. On the Impact of Exchange-Traded Funds over Noise Trading: Evidence from European Stock Exchanges; Chapter 15. Penetrating Fixed Income ETFs; Chapter 16. Smoothing Transition Autoregressive (STAR) Models for the Day of the Week Effect: An Application to S&P 500 Index; Section Four: Foreign Exchange Markets, Algorithmic Trading, and Risk; Chapter 17. Disparity of USD Interbank Interest Rates in Hong Kong and Singapore: Is There Any Arbitrage Opportunity; Chapter 18. Forex Trading Opportunities Through Prices Under Climate Change; Chapter 19. The Impact of Algorithmic Trading Models on the Stock Market; Chapter 20. Trading in Risk Dimensions; Chapter 21. Development of a Risk-Monitoring Tool Dedicated to Commodity Trading; Section Five: Trading Volume and Behavior; Chapter 22. Securities Trading, Asymmetric Information, and Market Transparency; Chapter 23. Arbitrage Risk and the High-Volume Return Premium; Chapter 24. The Impact of Hard vs. Soft Information on Trading Volume: Evidence from Management Earnings Forecasts; Chapter 25. Modeling Bubbles and Anti-Bubbles in Bear Markets: A Medium-Term Trading Analysis; Chapter 26. Strategic Financial Intermediaries with Brokerage Activities; Chapter 27. Financial Markets, Investment Analysis, and Trading in Primary and Secondary Markets; Chapter 28. Trading and Overconfidence; Chapter 29. Correlated-Asset Trading and Disclosure of Private Information |
|
|
Bond Investing for Dummies $33.93 Bonds and bond funds are among the safest and most reliable investments you can make to ensure an ample and dependable retirement income — if you do it right! Bond Investing For Dummies helps you do just that, with clear explanations of everything you need to know to build a diversified bond portfolio that will be there when you need it no matter what happens in the stock market. This plain-English guide explains the pros and cons of investing in bonds, how they differ from stocks, and the best (and worst) ways to select and purchase bonds for your needs. You`ll get up to speed on all the different types of bonds and discover how to know when it`s time to sell and how to get the best prices when you do. Find out what you need to know about: Buying and selling bonds and bond funds Measuring bond risks and returns Taxes on bond interest and tax-free bonds Customizing and optimizing your bond portfolio Common bond-investing mistakes and how to avoid them "Risk-free" U.S. Treasury bonds Tax-free municipal bonds High yield corporate bonds The pros and cons agency bonds Convertible bonds, derivatives, and other exotic offerings Packed with sound advice and dependable formulas for ensuring that your bond investments fulfill your retirement goals, Bond Investing For Dummies is the resource you need to put the gold in your golden years. |
|
|
Trading on Corporate Earnings News by Shon, John; Zhou, Ping Edition ILL, 1 $25.49 Trading on Corporate Earnings News by Shon, John; Zhou, Ping |
|
|
Bond Investing For Dummies by Wild, Russell Edition ILL, 1 $15.49 Bonds and bond funds are among the safest and most reliable investments you can make to ensure an ample and dependable retirement income — if you do it right! Bond Investing For Dummies helps you do just that, with clear explanations of everything you need to know to build a diversified bond portfolio that will be there when you need it no matter what happens in the stock market.This plain-English guide explains the pros and cons of investing in bonds, how they differ from stocks, and the best (and worst) ways to select and purchase bonds for your needs. You’ll get up to speed on all the different types of bonds and discover how to know when it’s time to sell and how to get the best prices when you do. Find out what you need to know about:Buying and selling bonds and bond fundsMeasuring bond risks and returnsTaxes on bond interest and tax-free bondsCustomizing and optimizing your bond portfolioCommon bond-investing mistakes and how to avoid themRisk-free U.S. Treasury bondsTax-free municipal bondsHigh yield corporate bondsThe pros and cons agency bondsConvertible bonds, derivatives, and other exotic offeringsPacked with sound advice and dependable formulas for ensuring that your bond investments fulfill your retirement goals, Bond Investing For Dummies is the resource you need to put the gold in your golden years. |
|
|
The Business of Trading in Stocks $31.19 If speculation were an exact science, one would simply have to analyze a situation, select the appropriate rule, and buy or sell accordingly. But the factors that influence prices are infinite in number and character, as well as in their effect upon the market; and the speculators forecasts of the probable outcome are nothing more than composite products of his own emotional equipment, his theoretical knowledge of the principles involved, and that reservoir of accumulated memories called Experience. from Intuition The corporate arena in the United States has changed tremendously since the early years of the Great Depression, but the basics of buying, selling, and makingand losingmoney in the stock market have remained the same. This eighth edition of a classic of stock speculation was assembled from articles appearing in The Magazine of Wall Street in 1926 and 1927 and updated in 1933, just as new market rules and regulations were coming into play to prevent Black Friday from occurring again. With a straightforward tone and solid insight, this work, still recommended as must reading for players in the market, covers: the principles and techniques of manipulation tape reading the law of averages charts and mechanical systems fundamentals what to buy, and when rights, arbitrage, and puts and calls and more. JOHN DURAND also wrote How to Secure Continuous Security Profits in Modern Markets (1929). A. T. MILLER is also the author of Principles of Successful Speculation (1931). Author: Hadden, J. Cuthbert Binding Type: Paperback Number of Pages: 184 Publication Date: 2006/03/01 Language: English Dimensions: 7.99 x 5.00 x 0.42 inches |


