Bond Portfolio Investing and Risk Management: Business, Finance
Facts101 is your complete guide to Bond Portfolio Investing and Risk Management. In this book, you will learn topics such as Portfolio Structure, Macro Considerations, Replication, and Stress Testing and Tail Risk Management plus much more. With key features such as key terms, people and places, Facts101 gives you all the information you need to prepare for your next exam. Our practice tests are specific to the textbook and we have designed tools to make the most of your limited study time.
1124185286
Bond Portfolio Investing and Risk Management: Business, Finance
Facts101 is your complete guide to Bond Portfolio Investing and Risk Management. In this book, you will learn topics such as Portfolio Structure, Macro Considerations, Replication, and Stress Testing and Tail Risk Management plus much more. With key features such as key terms, people and places, Facts101 gives you all the information you need to prepare for your next exam. Our practice tests are specific to the textbook and we have designed tools to make the most of your limited study time.
15.99
In Stock
5
1
Bond Portfolio Investing and Risk Management: Business, Finance
36Bond Portfolio Investing and Risk Management: Business, Finance
36
15.99
In Stock
Product Details
ISBN-13: | 9781467234207 |
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Publisher: | Cram101 |
Publication date: | 09/26/2016 |
Sold by: | Barnes & Noble |
Format: | eBook |
Pages: | 36 |
File size: | 392 KB |
About the Author
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