内容简介
The definitive guide to fixed income investing--revised and
updated for the new era of investing The Handbook of Fixed Income
Securities is the investing industry's most trusted, widely
followed fixed income reference. For nearly three decades,
investors have been drawn to its unparalleled scope, detail, and
expertise. Now, the world's most authoritative fixed income
resource has been updated with facts and formulas to help you
better analyze, value, and manage fixed income instruments and
their derivatives in today's evolving marketplace. This thoroughly
revised eighth edition includes detailed discussions of: Types,
features, and uses of fixed income securities Active and structured
portfolio management strategies Basics of fixed income analytics,
from bond pricing to price volatility measures Risks and risk
control strategies Interest rate and credit derivatives and their
portfolio management applications Asset-backed securities,
collateralized debt obligations, and innovative fixed income
applications The Handbook of Fixed Income Securities is the most
all-inclusive, up-to-date source available for fixed income facts
and analyses. Its valuable perspective and insights will help you
enhance investment returns and avoid poor performance in the fixed
income market.
作者简介
Frank J. Fabozzi is professor of finance at EDHEC Business
School and a member of the EDHEC Risk Institute. Fabozzi has
authored and edited a number of books on investment management, is
editor of the Journal of Portfolio Management, and serves on the
board of directors of the BlackRock complex of closed end funds.
Fabozzi is the 2007 recipient of the C. Stewart Sheppard Award
given by the CFA Institute. Steven V. Mann is professor of finance
at the Darla Moore School of Business, University of South
Carolina. He has coauthored several books, including Floating-Rate
Securities, Introduction to Fixed Income Analytics, and Global
Money Markets.