Tuesday, December 18, 2012

The Theory and Practice of Bond Portfolio Management, Volume II

The Theory and Practice of Bond Portfolio Management, Volume II 
by Peter L. Bernstein (Editor)

Book Description: International Investor Books, New York, 1980. Hardcover. 8vo - over 7¾ - 9¾" tall. Hardcover, blue cloth boards with sliver title to cover and spine, Volume II, 1980, 268 pp.,

Book Condition: Very Good, covers lightly rubbed and scuffed, light shelfwear, corners gently bumped, end papers and pages are clean, bright and unmarked, no dust jacket.

Summary: A wonderful collection of articles and monographs by various financial authors,

Contents: Introduction, by Peter L. Bernstein, THE BOND MARKET IN ACTION, Risk and Return in the Government Bond Market by Jess B. Yawitz and William J. Marshall, Bond Equivalents of Stock Returns by Peter O. Dietz, H. Russell Fogler and Donald J. Hardy, The Cyclical Pattern in Corporate Bond Quality by Michael G. Ferri and Charles G. Martin, Deep Discount Bonds: How Well Do They Perform? by H. Russell Fogler and Michael Joehnk, How Do Call Provisions Influence Bond Yields? by Michael G. Ferri, plus 12 other articles about the Market Environment and Techniques of Fixed-Income Management. -- end. 268 pp.

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$40.00


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