A comprehensive introduction to the state of the art techniques employed by fixed income portfolio managers to control exposure to interest rate and related risks. Techniques include both hedging and option related strategies, as well as the use of specialized investment vehicles. The book is written from the viewpoint of actual portfolio management situations. The book contains chapters which deal with applications of risk control procedures in a variety of institutional settings, and covers options such as zero coupons and stripped coupon bonds; risk control techniques; synthetic options; hedging with financial futures; and mortgage backed securities.
"synopsis" may belong to another edition of this title.
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rilegato. Condition: Buono (Good). 1. Copertina in ecopelle con titolo in oro al dorso. Sovraccoperta plastificata con alette informative sporca lievemente. Tagli impolverati e pagine integre. Collana: "Wiley Professional Banking and Finance Series". 0471823546 Buono (Good) . Book. Seller Inventory # BOOK-U-010616718
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tapa dura. Condition: Bien. Interest rates., Investments., Risk., Aufsatzsammlung Controlling interest rate risk : new techniques and applications for money management Wiley  1986. New York. 24 cm. xv, 414 pages : illustrations. Encuadernación en tapa dura de editorial con sobrecubierta. Idioma Inglés. [edited by] Robert B. Platt. Wiley professional banking and finance series. Includes index. Includes bibliographical references and index . ISBN: 0471823546; 9780471823544 (=3045435=) LI300. Seller Inventory # 3045435
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hardcover. Condition: Good. Connecting readers with great books since 1972! Used textbooks may not include companion materials such as access codes, etc. May have some wear or writing/highlighting. We ship orders daily and Customer Service is our top priority! Seller Inventory # S_351815290
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