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Looking to excel in your fixed-income securities course? Look no further! Our comprehensive textbook, "Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies," is specifically designed for MSc Finance and MBA students. This 'Hull-type' book fills the gap in the market with a practical approach, featuring numerous examples and excel spreadsheets to enhance your learning experience.
What sets our textbook apart is its coverage of both traditional and alternative investment strategies in the fixed-income market. From deriving the zero yield curve to exploring modern strategies used by fixed-income hedge funds, this book covers essential topics often missed by other textbooks. Stay ahead of the curve with our in-depth insights and analysis.
Don't miss out on the opportunity to enhance your knowledge and skills in fixed-income securities. With a focus on risk management and portfolio strategies, our book provides a solid foundation for students to succeed in this growing market. Take your learning to the next level and master the complexities of fixed-income securities with our groundbreaking textbook.
Ready to take your fixed-income securities knowledge to new heights? Purchase our textbook now and elevate your understanding of valuation, risk management, and portfolio strategies. Order now and become an expert in the field!
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