Bond Markets, Analysis, And strategies, 9th Edition
Delve into the intricate world of fixed income securities with “Bond Markets, Analysis, and Strategies,” 9th Edition. This comprehensive guide offers a thorough exploration of bond valuation, portfolio management, and the latest strategies employed by investment professionals. Learn about the nuances of different bond types, including government, corporate, and mortgage-backed securities. Understand the impact of macroeconomic factors, interest rate movements, and credit risk on bond performance.
Benefit from updated coverage of current market trends, regulatory changes, and innovative investment techniques. Explore strategies for active and passive bond management, along with techniques for generating alpha and managing risk. This edition provides practical insights for both students and practitioners seeking a deeper understanding of the bond markets. Gain a competitive edge with this essential resource for navigating the complexities of fixed income investing.
Explore the role of bond markets in the global economy and their importance in asset allocation. Learn about yield curve analysis, duration, and convexity. Understand how to construct and manage bond portfolios to meet specific investment objectives. With clear explanations and real-world examples, this book provides a strong foundation for success in the dynamic field of fixed income.
- Condition: NEW with Shrink Wrap.
- Book format: Paperback
- Exercise and Prep access codes are NOT included.