{"product_id":"9780262049450","title":"Introduction to Fixed-Income Analysis and Portfolio Management","description":"\u003ctable\u003e\u003ctbody\u003e\n\u003ctr\u003e\n\u003ctd style=\"\"\u003e\u003cstrong\u003eAuthor\/Contributor(s):\u003c\/strong\u003e\u003c\/td\u003e\n\u003ctd style=\"\"\u003eFabozzi, Frank J.\u003cbr\u003e\n\u003c\/td\u003e\n\u003c\/tr\u003e\n\u003ctr\u003e\n\u003ctd style=\"\"\u003e\u003cstrong\u003ePublisher:\u003c\/strong\u003e\u003c\/td\u003e\n\u003ctd\u003eThe MIT Press\u003cbr\u003e\n\u003c\/td\u003e\n\u003c\/tr\u003e\n\u003ctr\u003e\n\u003ctd style=\"\"\u003e\u003cstrong\u003eDate:\u003c\/strong\u003e\u003c\/td\u003e\n\u003ctd\u003e1\/21\/2025\u003cbr\u003e\n\u003c\/td\u003e\n\u003c\/tr\u003e\n\u003ctr\u003e\n\u003ctd style=\"\"\u003e\u003cstrong\u003eBinding:\u003c\/strong\u003e\u003c\/td\u003e\n\u003ctd style=\"\"\u003eHardcover\u003c\/td\u003e\n\u003c\/tr\u003e\n\u003ctr\u003e\n\u003ctd style=\"\"\u003e\u003cstrong\u003eCondition:\u003c\/strong\u003e\u003c\/td\u003e\n\u003ctd style=\"\"\u003eNEW\u003cbr\u003e\n\u003c\/td\u003e\n\u003c\/tr\u003e\n\u003c\/tbody\u003e\u003c\/table\u003e\u003cb\u003eA concise but comprehensive introduction to fixed income analysis for undergraduate and graduate students.\u003c\/b\u003e\u003cbr\u003e\u003cbr\u003eOffering more concise and less technical coverage of the material featured in the classic text \u003ci\u003eBond Markets, Analysis, and Strategies\u003c\/i\u003e, this streamlined book is rightsized for a one-semester fixed-income course. In accessible terms, Frank Fabozzi describes the sectors of the fixed-income market, details how to value fixed-income instruments, and shows how to measure interest rate risk and how to manage a fixed income portfolio. Key concepts are illustrated with extensive examples and exercises, and end-of-chapter questions invite further research. The result is an incisive but approachable introduction to fixed-income analysis  for undergraduate finance and business students. \u003cbr\u003e\u003cbr\u003e\u003cul\u003e\n\u003cli\u003eComprehensive coverage of fixed-income markets\u003c\/li\u003e\n\u003cli\u003eEasy-to-understand framing of mathematical concepts accommodates a wide readership with varying levels of mathematical expertise \u003c\/li\u003e\n\u003cli\u003eExtensive illustrations and examples animate analytical chapters\u003c\/li\u003e\n\u003cli\u003eWritten by an expert with deep experience in the asset management industry and the classroom\u003c\/li\u003e\n\u003cli\u003ePragmatic modular structuring of content enables adaptability to different curricula \u003c\/li\u003e\n\u003cli\u003eInstructor resources available \u003c\/li\u003e\n\u003c\/ul\u003e","brand":"The MIT Press","offers":[{"title":"Default Title","offer_id":45396791230719,"sku":"9780262049450","price":100.0,"currency_code":"USD","in_stock":true}],"thumbnail_url":"\/\/cdn.shopify.com\/s\/files\/1\/0452\/0886\/2873\/files\/9780262049450_s600x595.jpg?v=1775594124","url":"https:\/\/massivebookshop.com\/products\/9780262049450","provider":"MASSIVE BOOKSHOP","version":"1.0","type":"link"}