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Chaos Theory in the Financi… Handbook of Technical Analy…

Active Total Return Management of Fixed-Income Portfolios: Risk Management and Portfolio Optimization... (Rev)

Author Ravi E. Dattatreya, Frank J. Fabozzi
Publisher McGraw-Hill Trade
Category Business & Economics
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Book Details
ISBN / ASIN1557385653
ISBN-139781557385659
Sales Rank3,863,937
MarketplaceUnited States 🇺🇸

Description

Relying on logical rather than mathematical explanations, Active Total Return Management of Fixed-Income Portfolios is one of the most incisive, up-to-date guides on the latest tools for managing a fixed-income portfolio. In the revised edition of this acclaimed classic, Ravi Dattatreya and Frank Fabozzi set forth a framework by which a portfolio manager or trader can identify value and assess risk. Additionally, the limitations of yield measures, duration and covexity are clearly illustrated.
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