Fixed Income Analysis, authored by Barbara S. Petitt and published by WILEY as part of the CFA Institute Investment series, offers a comprehensive guide to fixed income portfolio management. The third edition provides authoritative and up-to-date coverage essential for investment professionals seeking in-depth knowledge and practical insights into analyzing and managing fixed income portfolios. With detailed information from CFA Institute, this book covers all fundamental topics in a clear and example-driven manner, making it valuable for self-study, general reference, and classroom use.
The book begins with an introduction to the basic concepts of fixed income, followed by a thorough analysis of risk management strategies. It delves into asset-backed securities and term structure analysis, providing readers with a robust framework for valuation that requires no prior background knowledge. The final section comprises three readings designed to build the necessary skills and understanding required to effectively manage fixed income portfolios in real-world scenarios.
As part of the CFA Institute Investment series, this edition ensures that readers gain critical knowledge of underlying concepts and learn how to translate theory into practical applications. With 752 pages, the book is a thorough exploration of fixed income analysis, presented by experts in the field, making it an indispensable resource for anyone involved in or studying fixed income portfolio management.
Publication Date: January 1, 2015
ISBN-10: 9788126563128
ISBN-13: 978-1118999493
Dimensions: 7.3 x 1.1 x 10.3 inches
Print Length: 752 pages
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