Professional perspectives on fixed income portfolio management
In the turbulent marketplace of the New Economy, portfolio managers must expertly control risk for investors who demand better and better returns even from the safest investments. Finance and investing expert Frank Fabozzi leads a team of experts in the discussion of the key issues of fixed income p...
Tallennettuna:
| Aineistotyyppi: | Kirja |
|---|---|
| Kieli: | Undetermined |
| Julkaistu: |
Chichester
Wiley-Academy
2000
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| Aiheet: | |
| Tagit: |
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| Thư viện lưu trữ: | Trung tâm Học liệu Trường Đại học Cần Thơ |
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Samankaltaisia teoksia
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Professional perspectives on fixed income portfolio management
Julkaistu: (2001) -
Fixed income markets and their derivatives /
Tekijä: Sundaresan, Suresh M.
Julkaistu: (1997) -
Risk management
Tekijä: Golub, Bennett W.
Julkaistu: (2000) -
Handbook of emerging fixed income and currency markets
Julkaistu: (1997) -
Fixed-Income Portfolio
Analytics
(A Practical Guide to Implementing,
Monitoring and Understanding
Fixed-Income Portfolios)
Tekijä: Bolder, David Jamieson
Julkaistu: (2015)