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"Good bond portfolio management is not just focused on one question - maturity/duration - and not just based on qualitative analysis. Smart portfolio managers spend most of their time on spread trades and often hedge away market directional risk. Moreover decisions are increasingly quantitatively based.".
"Active Fixed Income and Credit Management covers key trades and tools for their analysis. The book also recognizes the growing significance of derivative contracts and credit diversification to bond investors."--BOOK JACKET.
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Subjects
| Edition | Availability |
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1
Active Fixed Income and Credit Management
2002, Palgrave Macmillan
in English
1280454695 9781280454691
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2
Active Fixed Income and Credit Management
September 6, 2002, Palgrave Macmillan
Hardcover
in English
0333993683 9780333993682
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Book Details
First Sentence
"Portfolio management is a structured investment process which comprises the following sections: strategic asset allocation (fundamental, long-term perspective)"

