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What is Bond Portfolio Management about?
The bond market is the largest single investment market in the world. Virtually every financial institution-from pension funds to insurance companies to banks-manages a sizable bond portfolio. In Bond Portfolio Management, leading fixed income authority Frank Fabozzi explains the latest strategies for maximizing bond portfolio returns. Fabozzi discusses different types of bonds, valuation principles, and a wide range of strategies. An excellent companion to Fabozzi's very successful The Handbook of Fixed Income Securities, Bond Portfolio Management will be a must-read for all fixed income professionals. Specific topics the investment objectives of institutional investors; total retun framework for assessing portfolio strategies; active and structured portfolio strategies; assessing invesment performance.
- Author
- Fabozzi, Frank J.
- Publisher
- New Hope, Pa.: Frank J. Fabozzi Associates
- Published
- 1996
- Language
- EN
- ISBN
- 9781853112201
Other editions & translations
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