This book is based on the author's many years of fixed income + practical experience and ideas in asset management institutions such as public funds, bank financial management, and brokerage asset management.
Pass the test. The manuscript systematically introduces fixed income + investment, focusing on the construction and dynamic management methods of multi-asset portfolios, interest rate bonds, credit
The differentiated application of classified asset strategies such as bonds, convertible bonds, stocks, and derivatives, as well as the author's experience during his career, strive to
The picture presents readers with a panoramic multi-asset and multi-strategy framework system.
This book can be used as a work manual for asset management practitioners and as a business reference for pan-financial practitioners and regulatory policy makers.
It is also a good helper for professional improvement of individual investors and financial media practitioners.
Reader comments
The fixed income + strategy introduced in the book reminded me of my friends and family who are also looking for investment methods that balance risk and return. This book provides a comprehensive framework that is of great help to asset management practitioners and individual investors. It is worth reading.
The fixed income + strategy introduced in the book reminded me of my friends and family who are also looking for investment methods that balance risk and return. This book provides a comprehensive framework that is of great help to asset management practitioners and individual investors. It is worth reading.