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Professional Perspectives on Fixed Income Portfolio Management
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Professional Perspectives on Fixed Income Portfolio Management Tapa dura - 2003

de Frank J. Fabozzi; Fabozzi; Vangiessen (Editor)


Información de la editorial

Professional Perspectives on Fixed Income Portfolio Management, Volume 4 is a valuable practitioner-oriented text that addresses the current developments as well as key strategies and central theories in this field. Filled with insightful articles that focus on three important areas of fixed income portfolio management-fixed income analysis and strategies, credit risk and credit derivatives, and structured products-this volume contains hard-won practical knowledge and theory that will allow you to navigate today's market with poise and confidence.

Written by experienced fixed income professionals, this comprehensive volume offers in-depth analysis on a wide range of fixed income portfolio management issues, including:

  • Risk/return trade-offs on fixed income asset classes
  • Consistency of carry strategies in Europe
  • The Euro benchmark yield curve
  • Quantitative approaches versus fundamental analysis for valuing corporate credit
  • The implication of Merton models for corporate bond investors
  • The valuation of credit default swaps
  • Framework for secondary market collateralized debt obligation valuation

For the financial professional who needs to understand the advanced characteristics of fixed income portfolio management, Professional Perspectives on Fixed Income Portfolio Management, Volume 4 offers the most current thinking from the most experienced professionals in this field. Increase your knowledge of this market and enhance your financial performance for years to come with Professional Perspectives on Fixed Income Portfolio Management, Volume 4.

Primera línea

In fixed-income markets, investors often pay inadequate attention to the historical risk/return characteristics of different asset classes.

Descripción de contraportada

Professional Perspectives on Fixed Income Portfolio Management, Volume 4 is a valuable practitioner-oriented text that addresses the current developments as well as key strategies and central theories in this field. Filled with insightful articles that focus on three important areas of fixed income portfolio management-fixed income analysis and strategies, credit risk and credit derivatives, and structured products-this volume contains hard-won practical knowledge and theory that will allow you to navigate today's market with poise and confidence.

Written by experienced fixed income professionals, this comprehensive volume offers in-depth analysis on a wide range of fixed income portfolio management issues, including: Risk/return trade-offs on fixed income asset classes Consistency of carry strategies in Europe The Euro benchmark yield curve Quantitative approaches versus fundamental analysis for valuing corporate credit The implication of Merton models for corporate bond investors The valuation of credit default swaps Framework for secondary market collateralized debt obligation valuation

For the financial professional who needs to understand the advanced characteristics of fixed income portfolio management, Professional Perspectives on Fixed Income Portfolio Management, Volume 4 offers the most current thinking from the most experienced professionals in this field. Increase your knowledge of this market and enhance your financial performance for years to come with Professional Perspectives on Fixed Income Portfolio Management, Volume 4.

Detalles

  • Título Professional Perspectives on Fixed Income Portfolio Management
  • Autor Frank J. Fabozzi; Fabozzi; Vangiessen (Editor)
  • Encuadernación Tapa dura
  • Edición Volume 4
  • Páginas 450
  • Volúmenes 1
  • Idioma ENG
  • Editorial John Wiley & Sons, Somerset, New Jersey, U.S.A.
  • Fecha de publicación September 8, 2003
  • Ilustrado
  • Features Bibliography, Illustrated, Index
  • ISBN 9780471268055 / 0471268054
  • Peso 1.56 libras (0.71 kg)
  • Dimensiones 9.44 x 6.16 x 1.43 pulgadas (23.98 x 15.65 x 3.63 cm)
  • Library of Congress subjects Portfolio management, Fixed-income securities
  • Número de catálogo de la Librería del Congreso de EEUU 2002511351
  • Dewey Decimal Code 332.632

Acerca del autor

FRANK J. FABOZZI, PhD, CFA, is editor of the Journal of Portfolio Management, the Frederick Frank Adjunct Professor of Finance at Yale University's School of Management, and a consultant in the fixed-income and derivatives area. Frank is a Chartered Financial Analyst and Certified Public Accountant who has edited and authored many acclaimed books in finance. He earned a doctorate in economics from the City University of New York in 1972. He is a Fellow of the International Center for Finance at Yale University.
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