Active Fixed Income and Credit Management (Hardcover)

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The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail using a top-down and bottom-up approach.

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Product Description

The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail using a top-down and bottom-up approach.

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Product Details

General

Imprint

Palgrave Macmillan

Country of origin

United Kingdom

Series

Finance and Capital Markets Series

Release date

April 2002

Availability

Expected to ship within 12 - 17 working days

First published

2002

Authors

,

Dimensions

216 x 140 x 17mm (L x W x T)

Format

Hardcover

Pages

230

ISBN-13

978-0-333-99368-2

Barcode

9780333993682

Categories

LSN

0-333-99368-3



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