Description

Book Synopsis
The bond market is one of the largest and most important financial markets in the world. For professional investors, building and managing a portfolio of bonds to achieve above-market returns is a continual challenge. In Selected Topics in Bond Portfolio Management, leading experts discuss state-of-the-art strategies for managing indexed, corporate, high-yield, municipal, and global bond portfolios. Each chapter includes questions and answers to enhance the reader's understanding.

Table of Contents
Preface.

1. Measuring and Managing Interest-Rate Risk (S. Richard and B. Gord).

2. Active Bond Portfolio Management: An Expected Return Approach (F. Trainer, Jr.).

3. Managing Indexed and Enhanced Indexed Bond Portfolios (K. Volpert).

4. Global Corporate Bond Portfolio Management (J. Malvey).

5. Managing Municipal Bond Portfolio (J. Slater).

6. Managing a High-Yield Bond Portfolio (J. Madden and J. Balestrino).

7. International Bond Portfolio Management (C. Steward and J. Lynch).

8. Using Busted Convertibles to Enhance Performance (W. Leach).

9. Managing a Fixed Income Portfolio Versus a Liability Objective (R. Ryan).

10. Fixed Income Attribution Analysis (F. Jones and L. Peltzman).

11. Bond Convexity: Hidden Risk, Hidden Value (K. Grant).

12.A User's Guide to Buy-Side Bond Trading (R. Gerber).

Questions.

Selected Topics in Bond Portfolio Management

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Order before 4pm today for delivery by Wed 31 Dec 2025.

A Paperback / softback by Frank J. Fabozzi

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    View other formats and editions of Selected Topics in Bond Portfolio Management by Frank J. Fabozzi

    Publisher: John Wiley & Sons Inc
    Publication Date: 30/06/1997
    ISBN13: 9781883249281, 978-1883249281
    ISBN10: 1883249287

    Description

    Book Synopsis
    The bond market is one of the largest and most important financial markets in the world. For professional investors, building and managing a portfolio of bonds to achieve above-market returns is a continual challenge. In Selected Topics in Bond Portfolio Management, leading experts discuss state-of-the-art strategies for managing indexed, corporate, high-yield, municipal, and global bond portfolios. Each chapter includes questions and answers to enhance the reader's understanding.

    Table of Contents
    Preface.

    1. Measuring and Managing Interest-Rate Risk (S. Richard and B. Gord).

    2. Active Bond Portfolio Management: An Expected Return Approach (F. Trainer, Jr.).

    3. Managing Indexed and Enhanced Indexed Bond Portfolios (K. Volpert).

    4. Global Corporate Bond Portfolio Management (J. Malvey).

    5. Managing Municipal Bond Portfolio (J. Slater).

    6. Managing a High-Yield Bond Portfolio (J. Madden and J. Balestrino).

    7. International Bond Portfolio Management (C. Steward and J. Lynch).

    8. Using Busted Convertibles to Enhance Performance (W. Leach).

    9. Managing a Fixed Income Portfolio Versus a Liability Objective (R. Ryan).

    10. Fixed Income Attribution Analysis (F. Jones and L. Peltzman).

    11. Bond Convexity: Hidden Risk, Hidden Value (K. Grant).

    12.A User's Guide to Buy-Side Bond Trading (R. Gerber).

    Questions.

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