Managing A Corporate Bond Portfolio-used

Managing A Corporate Bond Portfolio-used

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Praise For Managing A Corporate Bond Portfolio'Crabbe And Fabozzi'S Managing A Corporate Bond Portfolio Is A Refreshingly Good Book On The Neglected Topic In Fixed Income Portfolio Management. If You Want To Understand The Latest Thinking In Corporate Bonds, What Drives Prices And Why, Read This Book. You Will Emerge With Knowledge That Will Help You Get An Edge In The Competitive Investing Arena.'Tim Oplerdirector, Financial Strategy Group, Csfb'A Practitioner'S Guide . . . A Creative, Comprehensive, And Practical Book That Addresses The Myriad Of Challenges Facing Managers Of Corporate Bond Portfolios. The Chapter On Liquidity, Trading, And Trading Costs Is A Must Read.'Mary Rooneyhead Of Credit Strategy, Merrill Lynch'As A Senior Portfolio Manager Responsible For Managing Billions Of Dollars Invested In Fixed Income Product During The Mid1990S, Lee Crabbe Was The One Wall Street Strategist That I Would Read Every Week To Help Me Figure Out Where Value Was In The Corporate Bond Market, And For Insightful And Easytounderstand Special Reports That Educated Me And Most Investors On The Risks And Opportunities Inherent In New Structures And Subordinated Products. Fortunately For Me And Investors, Lee Crabbe And Frank Fabozzi Have Written This Book, Which Compiles Much Of Their Previous Work On Corporate Bond Valuation, Along With New Features That Are A Must Read, Especially In Light Of The Volatile Times In The Corporate Bond Market Over The Past Few Years. For Portfolio Managers, Analysts, Traders, And Even Strategists, If There Is One Book In Your Bookshelf That You Should Have On Corporate Bond Portfolio Management, It Is This One.'William H. Cunninghammanaging Director, Director Of Credit Strategy, J.P. Morgan Securities Inc.Www.Wileyfinance.Com

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If you believe you have received a defective product, or are experiencing any problems with your product, please contact us.

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Frequently Asked Questions

  • Q: What is the main focus of 'Managing a Corporate Bond Portfolio'? A: The book focuses on the intricacies of managing a corporate bond portfolio, covering essential topics like valuation, liquidity, trading costs, and market risks.
  • Q: Who are the authors of this book? A: The authors are Leland E. Crabbe and Frank Fabozzi, both of whom are experienced professionals in the field of finance and investment.
  • Q: Is this book suitable for beginners in finance? A: While the book offers valuable insights, it is primarily designed for portfolio managers, analysts, and strategists, so a basic understanding of fixed income investing is recommended.
  • Q: What is the publication date of 'Managing a Corporate Bond Portfolio'? A: The book was published on January 2, 2001.
  • Q: How many pages does this book contain? A: The book contains 336 pages.
  • Q: What type of binding does this book have? A: The book is available in hardcover binding.
  • Q: Are there any reviews from industry professionals? A: Yes, the book has received praise from various industry professionals, highlighting its comprehensive approach and practical insights into corporate bond management.
  • Q: What specific topics are addressed in the book? A: The book covers topics such as corporate bond valuation, trading strategies, liquidity, and the challenges faced by portfolio managers.
  • Q: Is this book considered a reference for investment strategies? A: Yes, it is regarded as a valuable reference for investment strategies in the corporate bond market, especially during volatile market conditions.
  • Q: Can this book help improve my understanding of market risks? A: Yes, the insights provided in this book can enhance your understanding of market risks associated with corporate bonds and how to navigate them effectively.