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Item Details
Title: FUNDAMENTALS OF INSTITUTIONAL ASSET MANAGEMENT
By: Frank J Fabozzi
Format: Paperback / softback

List price: £80.00
Our price: £72.00
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ISBN 10: 9811220034
ISBN 13: 9789811220036
Availability: Usually dispatched within 3-5 days.
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Stock: Currently 1item in stock
Publisher: WORLD SCIENTIFIC PUBLISHING CO PTE LTD
Pub. date: 15 November, 2020
Pages: 475
Returns: Returnable
Some other items by this author:
ACCESSING CAPITAL MARKETS THROUGH SECURITIZATION
ACTIVE EQUITY PORTFOLIO MANAGEMENT
ADVANCED BOND PORTFOLIO MANAGEMENT
ADVANCES IN THE VALUATION AND MANAGEMENT OF MORTGAGE-BACKED SECURITIES
ANALYSIS OF FINANCIAL STATEMENTS
ANALYSIS OF FINANCIAL STATEMENTS
ANALYSIS OF FINANCIAL STATEMENTS
ANALYSIS OF FINANCIAL STATEMENTS
ANALYSIS OF FINANCIAL STATEMENTS
APPLIED EQUITY VALUATION
ASSET MANAGEMENT: TOOLS AND ISSUES (HB)
ASSET-BACKED SECURITIES
BANK LOANS
BANK LOANS: SECONDARY MARKET AND PORTFOLIO MANAGEMENT (HB)
BOND CREDIT ANALYSIS
BOND PORTFOLIO MANAGEMENT
CAPITAL BUDGETING
CAPITAL BUDGETING
COLLATERALIZED DEBT OBLIGATIONS
COLLATERALIZED MORTGAGE OBLIGATIONS
CREDIT DERIVATIVES
CREDIT UNION INVESTMENT MANAGEMENT
DERIVATIVES AND EQUITY PORTFOLIO MANAGEMENT
DURATION, CONVEXITY, AND OTHER BOND RISK MEASURES
DURATION, CONVEXITY, AND OTHER BOND RISK MEASURES
ENCYCLOPEDIA OF FINANCIAL MODELS, 3 VOLUME SET
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME I
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME I
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME I
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME II
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME II
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME II
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME III
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME III
ENCYCLOPEDIA OF FINANCIAL MODELS, VOLUME III
EQUIPMENT LEASING
EQUITY PORTFOLIO MANAGEMENT
EQUITY VALUATION AND PORTFOLIO MANAGEMENT
FAT-TAILED AND SKEWED ASSET RETURN DISTRIBUTIONS
FINANCE
FINANCE
FINANCE
FINANCIAL ADVICE AND INVESTMENT DECISIONS
FINANCIAL ECONOMETRICS
FINANCIAL ECONOMICS
FINANCIAL MANAGEMENT AND ANALYSIS
FINANCIAL MANAGEMENT AND ANALYSIS
FINANCIAL MANAGEMENT AND ANALYSIS WORKBOOK
FINANCIAL MODELING OF THE EQUITY MARKET
FINANCIAL RISK MANAGEMENT
FINANCIAL RISK MANAGEMENT
FIXED INCOME ANALYSIS
FIXED INCOME ANALYSIS
FIXED INCOME ANALYSIS WORKBOOK
FIXED INCOME ANALYSIS WORKBOOK
FIXED INCOME ANALYSIS WORKBOOK
FIXED INCOME SECURITIES
FIXED INCOME SECURITIES
FLOATING-RATE SECURITIES
FOUNDATIONS AND APPLICATIONS OF THE TIME VALUE OF MONEY
FOUNDATIONS AND APPLICATIONS OF THE TIME VALUE OF MONEY
FOUNDATIONS AND APPLICATIONS OF THE TIME VALUE OF MONEY
FOUNDATIONS OF FINANCIAL MARKETS AND INSTITUTIONS (PB)
FUNDAMENTALS OF INSTITUTIONAL ASSET MANAGEMENT (HB)
HANDBOOK OF EMERGING FIXED INCOME AND CURRENCY MARKETS
HANDBOOK OF EMERGING FIXED INCOME AND CURRENCY MARKETS (HB)
HANDBOOK OF INFLATION INDEXED BONDS
HANDBOOK OF INVESTING IN CORPORATE DEBT INSTRUMENTS (HB)
HANDBOOK OF PORTFOLIO MANAGEMENT
HANDBOOK OF STABLE VALUE INVESTMENTS (HB)
HANDBOOK OF STRUCTURED FINANCIAL PRODUCTS
HANDBOOK OF STRUCTURED FINANCIAL PRODUCTS (HB)
INSTITUTIONAL INVESTMENT MANAGEMENT
INTEREST RATE, TERM STRUCTURE, AND VALUATION MODELING
INTRODUCTION TO FINANCE: FINANCIAL MANAGEMENT AND INVESTMENT MANAGEMENT (HB)
INTRODUCTION TO FIXED INCOME ANALYTICS
INTRODUCTION TO FIXED INCOME ANALYTICS
INTRODUCTION TO SECURITIZATION
INVESTING IN ASSET-BACKED SECURITIES
INVESTING IN COLLATERALIZED DEBT OBLIGATIONS
INVESTING IN COMMERCIAL MORTGAGE-BACKED SECURITIES
INVESTING IN EMERGING FIXED INCOME MARKETS
INVESTMENT PERFORMANCE OF U.S. EQUITY PENSION FUND MANAGERS (HB)
ISSUER PERSPECTIVES ON SECURITIZATION
LEVERAGED FINANCE
MANAGING A CORPORATE BOND PORTFOLIO
MANAGING FIXED INCOME PORTFOLIOS
MANAGING MBS PORTFOLIOS
MEASURING AND CONTROLLING INTEREST RATE AND CREDIT RISK
MORTGAGE-BACKED SECURITIES
MORTGAGE-BACKED SECURITIES
OPERATIONAL RISK
PENSION FUND INVESTMENT MANAGEMENT
PERSPECTIVES ON EQUITY INDEXING
PERSPECTIVES ON INTEREST RATE RISK MANAGEMENT FOR MONEY MANAGERS AND TRADERS
PERSPECTIVES ON INTERNATIONAL FIXED INCOME INVESTING
PERSPECTIVES ON INTREST RATE RISK MANAGEMENT FOR MONEY MANAGERS (HB)
PERSPECTIVES ON INVESTMENT MANAGEMENT OF PUBLIC PENSION FUNDS
PORTFOLIO CONSTRUCTION AND ANALYTICS
PORTFOLIO CONSTRUCTION AND ANALYTICS
PROBABILITY AND STATISTICS FOR FINANCE
PROFESSIONAL PERSPECTIVES ON FIXED INCOME PORTFOLIO MANAGEMENT, VOLUME 2
PROFESSIONAL PERSPECTIVES ON FIXED INCOME PORTFOLIO MANAGEMENT, VOLUME 4
PROJECT FINANCING: ANALYZING AND STRUCTURING PROJECTS (HB)
PROJECT FINANCING: FINANCIAL INSTRUMENTS AND RISK MANAGEMENT (HB)
QUANTITATIVE EQUITY INVESTING
REAL ESTATE-BACKED SECURITIES
RECENT EVIDENCE ON THE DISTRIBUTION PATTERNS IN CHAPTER 11 REORGANIZATIONS
RECENT EVIDENCE ON THE DISTRIBUTION PATTERNS IN CHAPTER 11 REORGANIZATIONS (CLASSIC REPRINT) (PB)
ROBUST EQUITY PORTFOLIO MANAGEMENT
ROBUST EQUITY PORTFOLIO MANAGEMENT
SECURITIES FINANCE
SELECTED TOPICS IN BOND PORTFOLIO MANAGEMENT
SELECTED TOPICS IN BOND PORTFOLIO MANAGEMENT (PB)
SELECTED TOPICS IN EQUITY PORTFOLIO MANAGEMENT
SHORT SELLING
SIMULATION AND OPTIMIZATION IN FINANCE
STRUCTURED PRODUCTS AND RELATED CREDIT DERIVATIVES
STUDYGUIDE FOR BOND MARKETS, ANALYSIS AND STRATEGIES BY FABOZZI, FRANK J., ISBN 9780132743549
STUDYGUIDE FOR INTRODUCTION TO FINANCIAL ECONOMICS BY FABOZZI, FRANK J., ISBN 9780470596203 (PB)
THE BASICS OF FINANCE
THE BASICS OF FINANCE
THE COMPLETE CFO HANDBOOK
THE FUTURE OF FINANCE
THE FUTURE OF FINANCE
THE FUTURE OF FINANCE
THE GLOBAL MONEY MARKETS
THE HANDBOOK OF COMMERCIAL MORTGAGE-BACKED SECURITIES
THE HANDBOOK OF CORPORATE DEBT INSTRUMENTS
THE HANDBOOK OF EQUITY STYLE MANAGEMENT
THE HANDBOOK OF EUROPEAN FIXED INCOME SECURITIES
THE HANDBOOK OF EUROPEAN STRUCTURED FINANCIAL PRODUCTS
THE HANDBOOK OF FINANCIAL INSTRUMENTS
THE HANDBOOK OF FIXED INCOME SECURITIES (HB)
THE HANDBOOK OF FIXED INCOME SECURITIES (PB)
THE HANDBOOK OF MUNICIPAL BONDS
THE HANDBOOK OF NONAGENCY MORTGAGE-BACKED SECURITIES
THE HANDBOOK OF STABLE VALUE INVESTMENTS
THE HANDBOOK OF TRADITIONAL AND ALTERNATIVE INVESTMENT VEHICLES
THE INVESTMENT PERFORMANCE OF U.S. EQUITY PENSION FUND MANAGERS
THE INVESTMENT PERFORMANCE OF U.S. EQUITY PENSION FUND MANAGERS
THE INVESTMENT PERFORMANCE OF U.S. EQUITY PENSION FUND MANAGERS (HB)
THE MATHEMATICS OF FINANCIAL MODELING AND INVESTMENT MANAGEMENT
THE MECHANICS OF SECURITIZATION
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT WORKBOOK
TREASURY SECURITIES AND DERIVATIVES
TREASURY SECURITIES AND DERIVATIVES (HB)
TRENDS IN COMMERCIAL MORTGAGE-BACKED SECURITIES
VALUATION OF FIXED INCOME SECURITIES AND DERIVATIVES
VALUATION OF INTEREST RATE SWAPS AND SWAPTIONS
VALUE-BASED METRICS

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