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CFA Institute Investment Series: Fixed Income Analysis

Third Edition

Paramètres

  • 714pages
  • 25 heures de lecture

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This essential guide to fixed income portfolio management offers authoritative and up-to-date insights from CFA experts. The new edition builds on Frank Fabozzi's previous work, providing comprehensive, example-driven presentations of key topics for self-study, reference, and classroom use. Readers begin with fundamental concepts before delving into risk analysis, asset-backed securities, term structure analysis, and valuation frameworks, all without requiring prior knowledge. The final section features three readings designed to enhance the skills necessary for effective portfolio management, illustrating the practical application of concepts in client scenarios. As part of the CFA Institute Investment series, this resource thoroughly explores fixed income analysis, enabling readers to grasp underlying concepts and translate theory into practice. Key areas covered include understanding fixed income securities, mastering risk analysis and valuation, and exploring the relationships between bond yields of varying maturities. Investment analysts, portfolio managers, individual and institutional investors, and anyone interested in fixed income markets will find valuable, professional-quality information. For a comprehensive understanding of fixed income portfolio management practices, this guide serves as an indispensable resource.

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CFA Institute Investment Series: Fixed Income Analysis, Frank J. Fabozzi, Barbara S. Pettitt, Jerald E. Pinto, Wendy L. Pirie, Bob Kopprasch

Langue
Année de publication
2015
Reliure
(rigide)
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Titre
CFA Institute Investment Series: Fixed Income Analysis
Sous-titre
Third Edition
Langue
Anglais
Publié
2015
Format
rigide
Pages
714
ISBN10
1118999495
ISBN13
9781118999493
Séries
Description
This essential guide to fixed income portfolio management offers authoritative and up-to-date insights from CFA experts. The new edition builds on Frank Fabozzi's previous work, providing comprehensive, example-driven presentations of key topics for self-study, reference, and classroom use. Readers begin with fundamental concepts before delving into risk analysis, asset-backed securities, term structure analysis, and valuation frameworks, all without requiring prior knowledge. The final section features three readings designed to enhance the skills necessary for effective portfolio management, illustrating the practical application of concepts in client scenarios. As part of the CFA Institute Investment series, this resource thoroughly explores fixed income analysis, enabling readers to grasp underlying concepts and translate theory into practice. Key areas covered include understanding fixed income securities, mastering risk analysis and valuation, and exploring the relationships between bond yields of varying maturities. Investment analysts, portfolio managers, individual and institutional investors, and anyone interested in fixed income markets will find valuable, professional-quality information. For a comprehensive understanding of fixed income portfolio management practices, this guide serves as an indispensable resource.