Availability: In Stock

Introduction to Fixed-Income Analysis and Portfolio Management

SKU: 9780262049450

Original price was: ₹8,900.00.Current price is: ₹8,010.00.

Master the world of fixed-income analysis with “Introduction to Fixed-Income Analysis and Portfolio Management” by Frank Fabozzi, available at The Bookish Owl. This concise guide, ideal for undergraduate and graduate finance and business students, offers a streamlined approach to understanding fixed-income markets, valuation, and risk management. Perfect for a one-semester course, it distills complex concepts into accessible terms, building upon the renowned “Bond Markets, Analysis, and Strategies.” Packed with illustrative examples, practical exercises, and end-of-chapter questions, this book is your essential resource for building and managing fixed-income portfolios. Gain expert insights into sectors, valuation, and interest rate risk from a seasoned industry professional. Enhance your portfolio management skills today!

5 in stock

Description

  • ISBN-10: 0262049457
  • ISBN-13: 978-0262049450
  • Publisher: The MIT Press
  • Publication date: 21 January 2025
  • Language: English
  • Dimensions: 20.96 x 2.84 x 26.37 cm
  • Print length: 616 pages