The Handbook of Fixed Income Securities
- 1419 pages
- 50 hours of reading
Shows you the latest techniques for controlling portfolio risk to achieve investment objectives. You'll discover how to identify opportunities that enhance portfolio returns.
Steven V. Mann is a leading author in the field of finance, whose extensive publications and consulting work have established him as an expert in fixed income and derivatives. His writing delves into the intricacies of interest rate and credit risk, drawing on a profound understanding of global money markets. With experience bridging academia and industry, Mann offers readers a unique perspective on the practical applications of financial theory. His approach is valued for its clarity and depth, making his work an invaluable resource for navigating complex financial landscapes.

Shows you the latest techniques for controlling portfolio risk to achieve investment objectives. You'll discover how to identify opportunities that enhance portfolio returns.