Explore this up-to-date and essential guide to fixed-income portfolio management
The newly revised Fourth Edition of Fixed Income Analysis delivers an authoritative and up-to-date treatment of the analysis and management of fixed-income portfolios. As part of the authoritative CFA Institute Investment Series, this book contains contributions from a team of financial experts with the CFA Institute discussing the essential topics in the field of fixed-income portfolio management.
The distinguished authors have included examples designed to offer you a real-world understanding of the theoretical concepts contained within the book, as well as a general framework for valuation that is approachable for both seasoned professionals and new students. You'll also learn about:
- Detailed coverage of liability-driven and index-based strategies
- The major types of yield curve strategies
- Different approaches to implementing active credit strategies
Ideal for investment analysts, portfolio managers, and individual and institutional investors and their advisors, Fixed Income Analysis will also prove to be an invaluable resource for anyone with even a passing interest in fixed-income markets seeking an authoritative but accessible reference to this complex field.