Bond portfolio investing and risk management: positioning fixed income portfolios for robust returns after the financial crisis

Bond portfolio investing and risk management: positioning fixed income portfolios for robust returns after the financial crisis

Author
Bhansali, Vineer
Publisher
McGraw-Hill Education
Language
English
Year
2011
Page
(xxi, 289 pages) : illustrations
ISBN
9780071713252,0071713255,9780071623704,0071623701
File Type
epub
File Size
7.1 MiB

Learn the fine art of risk measurement and control—from a senior member of PIMCO! Bond Portfolio Investing and Risk Management is designed for one purpose—to help you do the most important part of your job. A top player in the upper echelon of PIMCO, Vineer Bhansali understands the nuances and complexities of managing risk in fixed-income investing better than anyone. In this highly practical guide, he puts his years of experience and the latest research to work in order to help you contend with such issues as: Liquidity and stress risks Asset allocation Market anomalies Cross-market relationships Tail-risk measurement Cyclical returns Macroeconomic data Bond Portfolio Investing and Risk Management details the tools used to offset risk, including their advantages and drawbacks, and explains when to use each one. Bhansali provides practical investment techniques to give you a firm handle on the value and risk of a fixed-income instrument.

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