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Type of bind: Paperback
EAN num: 9780935015881
ISBN number: 0935015884
Label: AIMR (CFA Institute)
Manufacturer: AIMR (CFA Institute)
Page Count: 96
Printing Date: February 10, 2003
Publishing house: AIMR (CFA Institute)
Sale Popularity Level: 2022430
Studio: AIMR (CFA Institute)
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Editor's Notes and Comments:
Product Description:
Given a recent environment of low interest rates, high default rates, periods of high volatility, and increasingly concentrated benchmarks, the presentations in this proceedings explore a variety of methods for maximizing excess return in fixed-income portfolios. Points of emphasis include strengthening the core portfolio by focusing on fundamental credit analysis, joining with other bond buyers to demand tight bond covenants and enforce creditor rights, and expanding the investment universe to include noncore sectors (such as leveraged bank loans, emerging market debt, and high-yield bonds) to enhance fixed-income performance.
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