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CFA Institute Investment Series: Fixed Income Analysis Third Edition Workbook

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  • 184pages
  • 7 heures de lecture

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This workbook aids busy professionals in grasping and applying essential concepts of fixed income portfolio management. Serving as a companion to the "Fixed Income Analysis" text, it provides learning objectives, chapter summaries, and practice problems that reinforce practitioner-oriented material, boosting readers' confidence before tackling real cases. Users will assess their understanding of metrics, methods, and mechanics related to fixed income portfolios, utilizing the tools and techniques outlined in the text. Designed to enhance information retention and clarify application challenges, this study guide equips readers to manage portfolios more effectively for their clients. As part of the CFA Institute Investment series, it bridges theory and practice, allowing users to apply concepts in real-world scenarios. The workbook features carefully crafted problems reflecting the latest practices in fixed income portfolio management, ensuring readers gain confidence in applying these techniques. It offers topic-specific practice problems for intuitive understanding, quick chapter reviews for key information, and opportunities to practice important methods before real-world application. Investment analysts, portfolio managers, individual and institutional investors, and their advisors will find this resource invaluable for clarifying complex issues through extensive hands-on practice, making it a comprehensive tool for masterin

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CFA Institute Investment Series: Fixed Income Analysis Third Edition Workbook, Barbara S. Pettitt, Jerald E. Pinto, Wendy L. Pirie, Frank J. Fabozzi

Langue
Année de publication
2015
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(souple),
État du livre
Très bon
Prix
10,99 €

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Titre
CFA Institute Investment Series: Fixed Income Analysis Third Edition Workbook
Langue
Anglais
Publié
2015
Format
souple
Pages
184
ISBN10
1118999509
ISBN13
9781118999509
Séries
Mots clés
Description
This workbook aids busy professionals in grasping and applying essential concepts of fixed income portfolio management. Serving as a companion to the "Fixed Income Analysis" text, it provides learning objectives, chapter summaries, and practice problems that reinforce practitioner-oriented material, boosting readers' confidence before tackling real cases. Users will assess their understanding of metrics, methods, and mechanics related to fixed income portfolios, utilizing the tools and techniques outlined in the text. Designed to enhance information retention and clarify application challenges, this study guide equips readers to manage portfolios more effectively for their clients. As part of the CFA Institute Investment series, it bridges theory and practice, allowing users to apply concepts in real-world scenarios. The workbook features carefully crafted problems reflecting the latest practices in fixed income portfolio management, ensuring readers gain confidence in applying these techniques. It offers topic-specific practice problems for intuitive understanding, quick chapter reviews for key information, and opportunities to practice important methods before real-world application. Investment analysts, portfolio managers, individual and institutional investors, and their advisors will find this resource invaluable for clarifying complex issues through extensive hands-on practice, making it a comprehensive tool for masterin