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Introduction to Fixed-Income Analysis and Portfolio Management by Frank J. Fabozzi
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Introduction to Fixed-Income Analysis and Portfolio Management

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Introduction to Fixed-Income Analysis and Portfolio Management by Frank J. Fabozzi
Ebook
Jan 21, 2025 | ISBN 9780262381451
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Table Of Contents

Chapter 1 Introduction
Chapter 2: Interest Rates
Chapter 3: U.S. Treasury and Agency Debt
Chapter 4: U.S. Municipal Securities
Chapter 5: Corporate Debt Instruments
Chapter 6: Equity-Related Corporate Debt
Chapter 7: Money Market Instruments
Chapter 8: Residential Real Estate-Backed Debt
Chapter 9: Commercial Mortgage Loans and Commercial Mortgage-Backed Securities
Chapter 10: Asset-Backed Securities
Chapter 11: Non-U.S. Debt Markets
Chapter 12 Collective Investment Vehicles
Chapter 13: Cash Flow of Debt Instruments
Chapter 14: Valuation of Debt Instruments
Chapter 15: Yield and Spread Measures and Total Return
Chapter 16: Measuring Interest Rate Risk
Chapter 17: Analysis of The Yield Curve
Chapter 18: Traditional Credit Analysis and Credit Risk Modeling
Chapter 19: Trading of Debt Instruments
Chapter 20: Portfolio Strategies
Chapter 21: Constructing A Debt Portfolio
Chapter 22: Controlling Interest-Rate Risk with Interest-Rate Futures, Forwards, And Swaps
Chapter 23: Controlling Credit Risk with Credit Default Swaps
Chapter 24: Bond Performance Measurement And Evaluation

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