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Quantitative Global Bond Portfolio Management.

Quantitative Global Bond Portfolio Management. F.J.ファボツィ他著 量的グローバル債券ポートフォリオ管理

・ISBN 978-981-12-7256-1 hard US$ 148.00

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電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 978-981-12-7257-8

著者・編者Konstantinov, Gueorgui S. / Fabozzi, F. J. / Simonian, J.,
出版社(World Scientific, SI)
出版年月2023.10
ページ数480 pp.
言語ENG
ニュース番号<709-234>

解説

Quantitative Global Bond Portfolio Management offers a comprehensive discussion of quantitative modelling approaches to managing global bond and currency portfolios. Drawing on practitioner and academic research, as well as the extensive market experience of the authors, the book provides a timely overview of cutting-edge tools applied to the management of global bond portfolios, including in-depth discussions of factor models and optimization techniques. In addition to providing a solid theoretical foundation for global bond portfolio management, the authors focus on the practical implementation of yield curve and currency-driven approaches that can be successfully implemented in actual portfolios. As such, the book will be an indispensable resource to both new and seasoned investors looking to enhance their understanding of global bond markets and strategies.