高级债券投资管理:建模与策略最佳实践 ADVANCED BOND PORTFOLIO MANAGEMENT

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  • 版 次:1
  • 页 数:558
  • 字 数:
  • 印刷时间:2005年12月01日
  • 开 本:
  • 纸 张:胶版纸
  • 包 装:精装
  • 是否套装:否
  • 国际标准书号ISBN:9780471678908
作者:ADVANCED BOND PORTFOLIO MANAGEMENT 等著出版社:吉林长白山出版时间:2006年12月 
内容简介
In order to effectively employ portfolio strategies that can control interest rate risk and/or enhance returns, you must understand the forces that drive bond markets, as well as the valuation and risk management practices of these complex securities. In Advanced Bond Portfolio Management, Frank Fabozzi, Lionel artellini, and Philippe Priaulet have brought together more than thirty experienced bond market professionals to help you do just that.
Divided into six comprehensive parts, Advanced Bond Portfolio Management will guide you through the state-of-the-art techniques used in the analysis of bonds and bond portfolio management. Topics covered include:
General background information on fixed-income markets and bond portfolio strategies
The design of a strategy benchmark
Various aspects of fixed-income modeling that will provide key ingredients in the implementation of an efficient portfolio and risk management process
Interest rate risk and credit risk management
目  录
Preface
About the Editors
About the Authors
PART ONE: BACKGROUND
Chapter 1 Overview of Fixed Income Portfolio Management
Chapter 2 Liquidity, Trading, and Trading Costs
Chapter 3 Portfolio Strategies for Outperforming a Benchmark
PART TWO: BANCHMARK SELECTION AND RISK BUDGETING
Chapter 4 The Active Decisions in the Selection of Passive Management and Performance Bogeys
Chapter 5 Liability-Based Benchmarks
Chapter 6 Risk Budgeting for Fixed Income Portfolios
PART THREE: FIXED INCOME MODELING
Chapter 7 Understanding the Building Blocks for OAS Models
Chapter 8 Fixed Income Risk Modeling

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