Bond portfolio investing and risk management : positioning fixed income portfolios for robust returns after the financial crisis /
第一著者: | Bhansali, Vineer |
---|---|
フォーマット: | 図書 |
言語: | English |
出版事項: |
New York :
McGraw-Hill,
c2011.
|
主題: | |
Classic Catalogue: | View this record in Classic Catalogue |
類似資料
-
Fixed income finance : a quantitative approach /
著者:: Wise, Mark B., 1953-
出版事項: (2010) -
Fixed income modelling
著者:: Munk, Claus -
Blue wealth assets- a fixed income mutual fund in Bangladesh
著者:: Islam, Mahinul
出版事項: (2022) -
Fixed asset management in Airtel Bangladesh Limited
著者:: Uthsho, Naim Hussain
出版事項: (2014) -
Portfolio Diversification
著者:: Lhabitant, François-Serge
出版事項: (2017)