The theory and practice of bond portfolio management /
Material type:
TextPublication details: New York : Institutional Investor Books, c1977.Description: 158 p. :illSubject(s): DDC classification: - 332.6'323 THE
- HG4651 .T45
| Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
|---|---|---|---|---|---|---|---|
Monograph & others
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CBN HQ Library General Stacks | Non-fiction | 332.6'323 THE (Browse shelf(Opens below)) | Available | 31008100224738 |
Browsing CBN HQ Library shelves, Shelving location: General Stacks, Collection: Non-fiction Close shelf browser (Hides shelf browser)
| No cover image available | No cover image available | |||||||
| 332.63'23 NEW The new high-yield debt market : | 332.63'23 TAF Investing in mortgage securities / | 332.63'23 TAF Investing in mortgage securities / | 332.6'323 THE The theory and practice of bond portfolio management / | 332.632'32 BRI The Treasury/ | 332.63'24 WAY Buying right : | 332.63'24'0941 GED Valuation and investment appraisal / |
Includes bibliographical references
The book examines bond portfolio, and the techniques of bond management. It also considers how to balance risk and return in bond portfolio so as to increase its efficiency in marketplace.
usc 12/02/2019
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