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倒數三天!簡體曬書節單本79折,5本7折
The Handbook of Fixed Income Securities (穩定投資法)
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The Handbook of Fixed Income Securities (穩定投資法)

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:NT$ 5103 元
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904593
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
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The Definitive Guide to Fixed Income Securities—Revised and Updated for the New Era of Investing

For decades, The Handbook of Fixed Income Securities has been the most trusted resource in the world for fixed income investing. Since the publication of the last edition, however, the financial markets have experienced major upheavals, introducing dramatic new opportunities and risks.

This completely revised and expanded eighth edition contains 31 new chapters that bring you up to date on the latest products, analytical tools, methodologies, and strategies for identifying and capitalizing on the potential of the fixed income securities market in order to enhance returns. Among the world’s leading authorities on the subject, Frank J. Fabozzi, along with Steven V. Mann, has gathered a powerful global team of leading experts to provide you with the newest and best techniques for taking advantage of this market. New topics include:

  • Electronic trading
  • Macro-economic dynamics and the corporate bond market
  • Leveraged loans
  • Structured and credit-linked notes
  • Exchange-traded funds
  • Covered bonds
  • Collateralized loan obligations
  • Risk analysis from multifactor fixed income models
  • High-yield bond portfolio management
  • Distressed structured credit securities
  • Hedge fund fixed income strategies
  • Credit derivatives valuation and risk
  • Tail risk hedging
  • Principles of performance attribution

Invaluable for its theoretical insights, unsurpassed in its hands-on guidance, and unequaled in the expertise and authority of its contributors, this all-new edition of The Handbook of Fixed Income Securities delivers the information and knowledge you need to stay on top of the market and ahead of the curve.

作者簡介

Frank J. Fabozzi is Professor in the Practice of Finance and Becton Fellow within Yale University''s School of Management and specializes in investment management and structured finance. He is editor of the Journal of Portfolio Management and has authored and edited many acclaimed books, three of which were coauthored with the late Franco Modigliani and co-edited with Harry Markowitz, including Investment Management: Theory and Practice. He is also a consultant to several financial institutions, is on the board of directors of the BlackRock complex of closed-end funds, and is a senior advisor to IndexIQ (a developer of next-generation indexes and invative quantitative investment strategies).Steven V. Mann is Professor of Finance at the Darla Moore School of Business, University of South Carolina, where he researches fixed-income securities and derivatives. He has published over seventy articles

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優惠價:90 4593
若需訂購本書,請電洽客服 02-25006600[分機130、131]。

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