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Bond Portfolio Management

Parametre

  • 523 stránok
  • 19 hodin čítania

Viac o knihe

This text explains the latest strategies for maximixing bond portfolio returns, discussing different types of bonds, valuation principles and a range of strategies. It reveals the investment objectives of institutional investors, and shows how to assess investment performance.

Nákup knihy

Bond Portfolio Management, Frank J. Fabozzi

Jazyk
Rok vydania
1996
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Titul
Bond Portfolio Management
Jazyk
anglicky
Rok vydania
1996
Väzba
pevná
Počet strán
523
ISBN10
1883249082
ISBN13
9781883249083
Série
Anotácia
This text explains the latest strategies for maximixing bond portfolio returns, discussing different types of bonds, valuation principles and a range of strategies. It reveals the investment objectives of institutional investors, and shows how to assess investment performance.