Fixed Income Securities - Valuation, Risk Management & Portfolio Strategies

Regular price RM83.76 MYR
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Comprehensive guide for fixed-income securities and portfolio strategies.

This book is a must-read for anyone studying or working in the field of fixed-income securities. With its comprehensive coverage, it provides a deep understanding of valuation, risk management, and portfolio strategies. The book stands out for its practical approach, offering numerous real-world examples and excel spreadsheets to help readers apply the concepts they learn. In addition, it goes beyond traditional strategies by delving into alternative investment strategies used by fixed-income hedge funds. Whether you're a student or a professional, this book is an invaluable resource that will enhance your knowledge and expertise in the fixed-income market.

Note: While we do our best to ensure the accuracy of cover images, ISBNs may at times be reused for different editions of the same title which may hence appear as a different cover.

Fixed Income Securities - Valuation, Risk Management & Portfolio Strategies

Regular price RM83.76 MYR
Unit price
per
ISBN: 9780470852774
Publisher: Wiley
Date of Publication: 2003-07-09
Format: Paperback
Related Collections: Business, Economics
Related Topics: Finance, Investment, Technology, Finance, Money
Goodreads rating: 3.5
(rated by 10 readers)

Description

This textbook will be designed for fixed-income securities courses taught on MSc Finance and MBA courses. There is currently no suitable text that offers a 'Hull-type' book for the fixed income student market. This book aims to fill this need. The book will contain numerous worked examples, excel spreadsheets, with a building block approach throughout. A key feature of the book will be coverage of both traditional and alternative investment strategies in the fixed-income market, for example, the book will cover the modern strategies used by fixed-income hedge funds.
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Comprehensive guide for fixed-income securities and portfolio strategies.

This book is a must-read for anyone studying or working in the field of fixed-income securities. With its comprehensive coverage, it provides a deep understanding of valuation, risk management, and portfolio strategies. The book stands out for its practical approach, offering numerous real-world examples and excel spreadsheets to help readers apply the concepts they learn. In addition, it goes beyond traditional strategies by delving into alternative investment strategies used by fixed-income hedge funds. Whether you're a student or a professional, this book is an invaluable resource that will enhance your knowledge and expertise in the fixed-income market.

Note: While we do our best to ensure the accuracy of cover images, ISBNs may at times be reused for different editions of the same title which may hence appear as a different cover.