Managing Fixed Income Portfolios
Edited book (chapter)
Chapter Title | Managing Fixed Income Portfolios |
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Book Chapter Category | Edited book (chapter) |
ERA Publisher ID | 3337 |
Book Title | Investment Management: A Modern Guide to Security Analysis and Stock Selection |
Authors | |
Author | Krishnamurti, Chandrasekhar |
Editors | Vishwanath, S. R. and Krishnamurti, Chandrasekhar |
Page Range | 439-451 |
Chapter Number | 18 |
Number of Pages | 13 |
Year | 2009 |
Publisher | Springer |
Place of Publication | Berlin / Heidelberg, Germany |
ISBN | 9783540888017 |
Digital Object Identifier (DOI) | https://doi.org/10.1007/978-3-540-88802-4_18 |
Web Address (URL) | https://link.springer.com/chapter/10.1007/978-3-540-88802-4_18 |
Abstract | [Chapter Introduction and Objectives]: At the most basic level, managing a fixed income portfolio consists of making a forecast of the yield curve and deciding which instruments will best take advantage of In this chapter, we consider the following aspects of fixed income portfolio management: I. Passive management |
Keywords | fixed income; portfolios |
ANZSRC Field of Research 2020 | 350202. Finance |
Public Notes | Files associated with this item cannot be displayed due to copyright restrictions. |
Byline Affiliations | Auckland University of Technology, New Zealand |
https://research.usq.edu.au/item/9z799/managing-fixed-income-portfolios
1930
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