Bond Portfolio Investing and Risk Management

1st Edition
0071623701 · 9780071623704
"Excess returns or yields do not come without risk. Bond Portfolio Investing and Risk Management delves comprehensively, but intuitively, into the various risk factors and delivers the tools to understand, measure, control, and take advantage of risk… Read More
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Chapter 1: Risk and Total Return
Chapter 2: Building Blocks
Chapter 3: Portfolio Structure
Chapter 4: Macro Considerations
Chapter 5: Replication
Chapter 6: Stress Testing and Tail Risk Management

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ISBN10: 0071713255 | ISBN13: 9780071713252

US$115.20

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ISBN10: 0071623701 | ISBN13: 9780071623704

US$128.00