Fixed Income Analysis, Third Edition

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CFA Institute Investment Series
2015
Source: Wiley
Barbara S. Petitt, CFA Jerald E. Pinto, CFA Wendy L. Pirie, CFA
752 pages

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Summary

Fixed Income Analysis provides authoritative and up-to-date coverage of how investment professionals analyze and manage fixed income portfolios. Valuable for self-study, general reference, and classroom use, Fixed Income Analysis provides comprehensive, example-driven presentations of all essential topics in the field.

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CFA Institute members may access two free sample chapters.
Topics
  • Fixed Income:
    • Analysis of Credit Risk
    • ·
    • Analysis of Interest Rate Risk
    • ·
    • Fixed Income Markets - Characteristics, Institutions, and Benchmarks
    • ·
    • Fixed Income Valuation (Sector, Industry, Company) and Return Analysis
    • ·
    • Influence of Equity Market Changes on Bond Pricing
    • ·
    • Macroeconomic Effects on Fixed-Income Yields
    • ·
    • Term Structure Determination and Yield Spreads
    • ·
    • Types of Fixed Income Securities and Their Characteristics
    • ·
    • Valuing Bonds with Embedded Options
  • Portfolio Management:
    • Fixed-Income Portfolio Management Strategies
Credits · About the CE Program
20 CE (including 0 SER) Manage CE Credits

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