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Professional Perspectives on Fixed Income Portfolio Management

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An in-depth analysis of fixed income portfolio managementVolume 4 of Professional Perspectives on Fixed Income Portfolio Management continues a successful series that covers many diverse topics in fixed income portfolio management. This practitioner-oriented text addresses current developments as well as key strategies and central theories in this field-volatility frameworks for the corporate market and credit derivatives in portfolio management to name just a few. Containing valuable insights from seasoned experts, Professional Perspectives on Fixed Income Portfolio Management, Volume 4 discusses risk control, risk management for fixed income management, and much more.Frank J. Fabozzi (New Hope, PA) is a financial consultant, the Editor of the Journal of Portfolio Management, and Adjunct Professor of Finance at Yale Universitys School of Management.
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