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Titlebook: Modern Multi-Factor Analysis of Bond Portfolios; Critical Implication Giovanni Barone Adesi (Professor),Nicola Carcano ( Book 2016 Palgrave

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書目名稱Modern Multi-Factor Analysis of Bond Portfolios
副標(biāo)題Critical Implication
編輯Giovanni Barone Adesi (Professor),Nicola Carcano (
視頻videohttp://file.papertrans.cn/638/637292/637292.mp4
圖書封面Titlebook: Modern Multi-Factor Analysis of Bond Portfolios; Critical Implication Giovanni Barone Adesi (Professor),Nicola Carcano ( Book 2016 Palgrave
描述.Where institutions and individuals averagely invest the majority of their assets in money-market and fixed-income instruments, interest rate risk management could be seen as the single most important global financial issue. However, the majority of the key techniques used by most investors were developed several decades ago, and the advantages of multi-factor models are not fully recognised by many researchers and practitioners..This book provides clear and practical insight into bond portfolios and portfolio management through key empirical analysis. The authors use extensive sets of empirical data to describe the value potentially added by more recent techniques to manage interest rate risk relative to traditional techniques and to present empirical evidence of such an added value. Beginning with a description of the simplest models and moving on to the most complex, the authors offer key recommendations for the future of rate risk management. .
出版日期Book 2016
關(guān)鍵詞Fixed-income; multi-factor models; bond portfolio optimization; bond hedging; Portfolio; portfolio manage
版次1
doihttps://doi.org/10.1007/978-1-137-56486-3
isbn_ebook978-1-137-56486-3
copyrightPalgrave Macmillan, a division of Macmillan Publishers Limited 2016
The information of publication is updating

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Palgrave Macmillan, a division of Macmillan Publishers Limited 2016
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e risk management could be seen as the single most important global financial issue. However, the majority of the key techniques used by most investors were developed several decades ago, and the advantages of multi-factor models are not fully recognised by many researchers and practitioners..This b
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Book 2016nt empirical evidence of such an added value. Beginning with a description of the simplest models and moving on to the most complex, the authors offer key recommendations for the future of rate risk management. .
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What Is the Goal for Proteinuria in IgA Nephropathy?g follow-up and urinary abnormalities at the end of observation period are not predictors of subsequent prognosis. Because of this, the more solid finding of the close association between proteinuria after 1–2?years of intervention and subsequent prognosis is explored to seek target proteinuria in management of IgA nephropathy.
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2363-6149 llustrations and exercises to enable readers to acquire a good understanding of the basic algebraic structures, which they can then use to find the exact or the most realistic solutions to their problems..978-981-13-5088-7978-981-10-4253-9Series ISSN 2363-6149 Series E-ISSN 2363-6157
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