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Bond Markets: Analysis and Strategies
 
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Bond Markets: Analysis and Strategies [Hardcover]

Frank J. Fabozzi (Author)
3.6 out of 5 stars  See all reviews (14 customer reviews)


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Hardcover $171.86  
Hardcover, October 20, 1995 --  
Paperback --  
There is a newer edition of this item:
Bond Markets, Analysis and Strategies (8th Edition) Bond Markets, Analysis and Strategies (8th Edition)
$212.85
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Book Description

0133391515 978-0133391510 October 20, 1995 3 Sub

This comprehensive reference on bonds takes a practical real-world approach to the subject. It contains detailed presentations of each type of bond and includes a wide range of products. Extensive discussions include not only the instruments, but also their investment characteristics, the state-of-the art technology for valuing them, and portfolio strategies for using them. Chapter topics include pricing, measuring yield, price volatility, municipal securities, non-U.S. bonds, performance measurement and evaluation, and interest-rate options. For portfolio managers and analysts in their quest for sound investments, and for individuals seeking to become more knowledgeable investors.

--This text refers to an out of print or unavailable edition of this title.


Editorial Reviews

From the Publisher

This comprehensive textbook on bonds takes a practical real-world approach to the subject. It includes a detailed discussion of each type of bond including a wide range of products. The text features comprehensive discussion of not only the instruments, but their investment characteristics, the state-of-the art technology for valuing them, and portfolio strategies for using them.

From the Back Cover

Key Benefits: It includes a detailed discussion of each type of bond including a wide range of products. The book features comprehensive discussion of not only the instruments, but their investment characteristics, the state-of-the art technology for valuing them, and portfolio strategies for using them.Key Topics: Offers more detailed coverage of various market sectors, including mortgage-backed securities, asset-backed securities, technologies for valuing complex bond structures, actual bond portfolio management strategies and interest rate derivatives than the previous edition. New coverage on measuring and evaluating bond performance and valuation of options and swaps. Explains the latest analytical techniques for valuing complex bond structures, tying together theory and practice; explains the bond strategies that are used by institutional investors so that students can see how professional money managers employ strategies using bonds. Discusses interest rate derivative instruments and how they are valued.

Product Details

  • Hardcover: 595 pages
  • Publisher: Prentice Hall; 3 Sub edition (October 20, 1995)
  • Language: English
  • ISBN-10: 0133391515
  • ISBN-13: 978-0133391510
  • Product Dimensions: 9.3 x 7.2 x 1.4 inches
  • Shipping Weight: 2.3 pounds
  • Average Customer Review: 3.6 out of 5 stars  See all reviews (14 customer reviews)
  • Amazon Best Sellers Rank: #920,298 in Books (See Top 100 in Books)

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Customer Reviews

14 Reviews
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4 star:
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3 star:
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2 star:
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Average Customer Review
3.6 out of 5 stars (14 customer reviews)
 
 
 
 
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Most Helpful Customer Reviews

27 of 31 people found the following review helpful:
4.0 out of 5 stars A lot of hand waving, but does help, April 3, 2002
A little too wordy, but as a management text, I guess its a prerequisite. It covers the gamut of fixed income securities, but only approaches the problems deterministically. The first thirteen chapters are "text" chapters, with the real math starting in chapter 14. However, the math used is elementary, and will not be of much help in the real world. For the fixed income math portion look into "Bond Pricing and Portfolio Analysis" by Olivier de La Grandville.

For a first course in bonds, and if the student has no prior background, this book will indeed be useful. But, for advanced students the book mentioned above should be more insightful.

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10 of 10 people found the following review helpful:
1.0 out of 5 stars Plagued by Math Errors and Incomplete Formulas, April 30, 2008
This book has numerous issues with incomplete formulas, math errors, and poor editing. Many of the questions at the end of the chapters are incomplete and the solutions in the manual often add in information that was not in the question. The solutions manual has lots of numbers transposed and on multipart questions these errors cause all of the answers to be incorrect. In addition, many of the solutions will change par value in the middle of the answer making it very confusing.

The editor of this book should be fired immediately.
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14 of 16 people found the following review helpful:
5.0 out of 5 stars Excellent introduction to Bond Markets - VERY well written, June 14, 2002
If you think of this as an introductory book to the world of Bonds rather than a field manual for professionals you will find this to be a wonderful book. I find it to be engagingly written (yes, engaging!) with well-chosen examples. It is very nice to be able to read a book about Bonds and find it stimulating. It would have been easy to write a book that could act as a sleep-aid. Instead, this book provides learning objectives for each chapter and the prose is so inviting that I felt the book to be a page-turner.

The math used is not complicated and is chosen to help understanding rather than demonstrate the sophisticated math used in the actual world of bond trading. If you want that kind of material this isn't the book for you.

I don't know if there is a solutions manual available, but I couldn't find it. If there isn't, there should be. I have never had a college course that used the problems in the book for actual coursework and yet, no matter how simple the problems seem, it is nice for the student to be able to confirm that he or she has indeed found the right answer.

There are also many helpful footnotes that point to materials for further and deeper reading on the subjects introduced in this fine book.

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