Fixed Income Strategy: A Practitioner's Guide to Riding the Curve
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About the Book
Practitioners will be first to tell you that the market has a dynamic spirit. Still, many rigidly follow a single methodology, which works well for a time - but then unexpectedly "blow up." The motivation for "Fixed Income Strategy" is to bridge the gap between models and market reality. Models are invaluable, but practitioners need to know when and how to use them. Henderson takes the reader on a critical tour of different approaches that can be used to develop a fixed income strategy. Henderson then takes the process one step further, illustrating how to structure trades that capitalize on various strategic views.

"Fixed Income Strategy" aims to straddle the different worlds of theoretical models and practical market experience, while offering an interdisciplinary framework for fixed income investing and trading. A focused but very practical approach to fixed income investment Offer an interdisciplinary framework for fixed income investing and trading Combines theoretical models and practical market experience Incorporate principles of risk management and other ingredients for survival on the financial battlefield

"This is a book for practitioners and definitely a good read for newcomers to the business of taking risk. Lots of helpful examples to illustrate the issues facing bond managers, and lots of good pointers to further research. Definitely one for the corporate book shelf." - "Alan J. Brown, Group Chief Investment Officer & Chairman, State Street Global Advisors Limited"



Market players put their jobs on the line with every position they take. Any fixed income investor in the circumstance of being granted one wish would probably want to know what interest rates are going to do in the future. Economists and others have constructed models of interest rate behaviour, but no model works in all circumstances. The main aim of this book is to straddle the different worlds of theoretical models and practical market experience, while offering an interdisciplinary framework for fixed income investing and trading.A focussed but very practical approach to fixed-income investment, aimed at practitioner marketContains investment checklists and interviews with market practitionersOffers an interdisciplinary framework for fixed-income investing and trading, and combines worlds of theoretical models and practical market experience

Book Details
ISBN-13: 9780470850633
EAN: 9780470850633
Publisher Date: 07/11/2003
Bood Data Readership Text: Professional & Vocational
Dewey: 332.632
Height: 252 mm
Illustrations: illustrations
LCCN: 2003014731
No of Pages: 222
Pagination: 222 pages, illustrations
Returnable: N
Spine Width: 18 mm
Width: 181 mm
ISBN-10: 0470850639
Publisher: John Wiley and Sons Ltd
Binding: Hardcover
Country Of Origin: United Kingdom
Gardner Classification Code: B00
Illustration: Y
Language: English
MediaMail: Y
Number of Items: 01
PrintOnDemand: Y
Series Title: Wiley Finance Series
UK Availability: GXC