With their increasing complexity, the fixed-income markets have made greater demands upon their participants. To be successful -- in this era of heightened volatility, especially -- requires a firm foundation in the precepts underlying the behavior of fixed-income investments. This book answers that need by presenting a comprehensive analysis of the two primary concepts: risk and return. Its four major sections develop and apply these concepts clearly and progressively, with outline and summary aids to enhance understanding and ample illustrations to reinforce the explanations.
- ISBN10 0139724567
- ISBN13 9780139724565
- Publish Date 1 June 1989
- Publish Status Out of Print
- Out of Print 4 July 2000
- Publish Country US
- Imprint Prentice Hall
- Format Hardcover
- Pages 300
- Language English