Introduction to Fixed-Income Analysis and Portfolio Management

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  • A
  • concise
  • but
  • comprehensive
  • introduction
  • to
  • fixed
  • income
  • analysis
  • for
  • undergraduate
  • and
  • graduate
  • students.Offering
  • more
  • concise
  • and
  • less
  • technical
  • coverage
  • of
  • the
  • material
  • featured
  • in
  • the
  • classic
  • text
  • Bond
  • Markets,
  • Analysis,
  • and
  • Strategies,
  • this
  • streamlined
  • book
  • is
  • rightsized
  • for
  • a
  • one-semester
  • fixed-income
  • course.
  • In
  • accessible
  • terms,
  • Frank
  • Fabozzi
  • describes
  • the
  • sectors
  • of
  • the
  • fixed-income
  • market,
  • details
  • how
  • to
  • value
  • fixed-income
  • instruments,
  • and
  • shows
  • how
  • to
  • measure
  • interest
  • rate
  • risk
  • and
  • how
  • to
  • manage
  • a
  • fixed
  • income
  • portfolio.
  • Key
  • concepts
  • are
  • illustrated
  • with
  • extensive
  • examples
  • and
  • exercises,
  • and
  • end-of-chapter
  • questions
  • invite
  • further
  • research.
  • The
  • result
  • is
  • an
  • incisive
  • but
  • approachable
  • introduction
  • to
  • fixed-income
  • analysis
  • for
  • undergraduate
  • finance
  • and
  • business students.
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