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OverviewU.S. investors are pouring billions of dollars into the international fixed income markets. In Perspectives on International Fixed Income Investing, an international cast of experts discusses proven strategies for investing successfully in these challenging markets. Topics addressed include assessing credit risk, managing currency volatility, understanding local markets, and maximizing yields. Full Product DetailsAuthor: Frank J. FabozziPublisher: Frank J. Fabozzi Associates Imprint: Frank J. Fabozzi Associates Dimensions: Width: 16.10cm , Height: 2.30cm , Length: 24.60cm Weight: 0.529kg ISBN: 9781883249311ISBN 10: 1883249317 Pages: 291 Publication Date: 15 February 1998 Audience: Professional and scholarly , College/higher education , General/trade , Professional & Vocational , Tertiary & Higher Education Format: Hardback Publisher's Status: Out of Stock Indefinitely Availability: Out of stock Table of ContentsContributing Authors. 1. Trading International Bond Markets (C. Steward). 2. International Bond Portfolio Management (C. Steward and H. Lynch). 3. Global Fixed Income Portfolio Investing: The Art of Decision Making (C. Dialynas and E. Rachlin). 4. International Fixed Income Investment: Philosophy and Process (A. Faillace and L. Thomas). 5. Global Bond Portfolio Management: A Disciplined Approach (J. Reiss). 6. An Integrated Framework for Valuation and Risk Analysis of International Bonds (R. Bhansali and L. Goldberg). 7. The Real Yield Approach to Global Investing (S. Dym). 8. Improved Measurement of Duration Contributions of Foreign Bonds in Domestic Portfolios (R. Willner). 9. Emerging Fixed Income and Local Currency: An Investment Management View (L. Luis). 10. Integrating Emerging Market Bonds into a Global Portfolio (S. Dym). 11. Risk and Relative Value in the Brady Bond Market (L. Martins and J. Kelly). 12. Global Performance Attribution (G. Fong, et al.). 13. Approaches to Global Fixed Income Performance Attribution (R. Kuberek). Index.ReviewsAuthor InformationFrank J. Fabozzi is a financial consultant, the editor of the Journal of Portfolio Management, and an Adjunct Professor of Finance at Yale University's School of Management. Tab Content 6Author Website:Countries AvailableAll regions |