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Perspectives on Intrest Rate Risk Management for Money Managers
Hardback

Perspectives on Intrest Rate Risk Management for Money Managers

$435.99
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Interest rate volatility can wreak havoc with the balance sheets of institutional investors, traders, and corporations. In this important book, leading experts in the field discuss methods for measuring and hedging interest rate risk. The book covers basic techniques, as well as state-of-the-art applications. Specific topics include portfolio risk management, value-at-risk, yield curve risk, interest rate models, advanced risk measurements, interest rate swaps, and measuring and forecasting interest rate volatility.

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MORE INFO
Format
Hardback
Publisher
Frank J. Fabozzi Associates
Country
United States
Date
1 February 1998
Pages
272
ISBN
9781883249298

Interest rate volatility can wreak havoc with the balance sheets of institutional investors, traders, and corporations. In this important book, leading experts in the field discuss methods for measuring and hedging interest rate risk. The book covers basic techniques, as well as state-of-the-art applications. Specific topics include portfolio risk management, value-at-risk, yield curve risk, interest rate models, advanced risk measurements, interest rate swaps, and measuring and forecasting interest rate volatility.

Read More
Format
Hardback
Publisher
Frank J. Fabozzi Associates
Country
United States
Date
1 February 1998
Pages
272
ISBN
9781883249298