Managing a family fixed-income portfolio

書誌事項

Managing a family fixed-income portfolio

Aaron S. Gurwitz

Frank J. Fabozzi Associates, c2000

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注記

Includes bibliographical references and index

内容説明・目次

内容説明

As the Dow continues its bumpy ride, many investors are looking for safe investments that will let them sleep at night. Fixed income portfolios can help investors meet their investment goals and avoid the turbulence of today's markets. Managing a Family Fixed Income Portfolio fills a gap in the world of investment literature by providing a serious, analytical understanding of bonds and the bond markets that is accessible to non-specialists. In this exploration of a much-neglected Goldman Sachs Fixed Income Research Strategist Aaron Gurwitz offers a blueprint for mastering fixed income portfolio management for families. The book begins with the basic concepts of bond math, asset allocation, and bond portfolio construction. Discussions of the workings of the global bond market focus on the sectors of most interest to high net worth families, including the U.S. municipal bond market, the eurodollar corporate market, and the global government markets. The final section of the book covers more advanced topics related to the yield curve, interest rate volatility, and fixed-income derivatives. The material will be of interest both to financial professionals who work with wealthy families and to those individual investors who wish to understand this important component of a balanced portfolio.

目次

About the Author. Preface. PART I. 1. Introduction. 2. Fixed-Income Basics. 3. The Big Picture: Portfolios, Return, and the Role of Fixed-Income Assets. 4. The Level of Interest Rates and the Shape of the Yield Curve. 5. Interest Rates, Bond Prices, and Portfolio Performance. 6. Currency Exchange Rates and Interest Rates. 7. Choosing the Best Structure for the Family Bond Portfolio. PART II. 8. Sectors of the Bond Market: a Global Perspective. 9. Sectors of the Bond Market: A Domestic U.S. Perspective. 10. Credit and Credit Analysis. 11. Operation of the Public Bond Markets. 12. Taxes and the Fixed-Income Portfolio. 13. Managing a Cash Bond Portfolio. PART III. 14. Leverage and Short Sales in the Fixed-Income Markets. 15. More About the Yield Curve. 16. Fixed-Income Options. 17. Evaluating Bonds with Embedded Options. 18. Fixed-Income Derivatives. 19. Putting it All Together: Building and Managing a Private Fixed-Income Portfolio. Index.

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詳細情報

  • NII書誌ID(NCID)
    BA51617850
  • ISBN
    • 1883249716
  • 出版国コード
    us
  • タイトル言語コード
    eng
  • 本文言語コード
    eng
  • 出版地
    New Hope, Pa.
  • ページ数/冊数
    vi, 370 p.
  • 大きさ
    24 cm
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