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Fixed Income Solutions: New Techniques for Managing Market Risks

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Contributors discuss risk management in the fixed income market and examine new research and theories in the field. Topics include fixed-income subsector asset allocation; the evolution of interest rate models; default risk-based pricing in a two-asset setting; finding value in mortgage derivatives; debt and equity in the new real estate markets; and arbitrage-free bond canonical decomposition. Includes an investor's guide to floating-rate notes, plus detailed chapter summaries. For professionals in finance. Annotation c. by Book News, Inc., Portland, Or.

352 pages, Hardcover

First published January 1, 1996

About the author

Thomas S.Y. Ho

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