ISBN-13: 9780471332114 / Angielski / Twarda / 2000 / 336 str.
Risk management plays an important role in the life of a financial institution. Aimed at both the asset management industry and academia, this book applies financial modelling techniques to the challenges of managing risk in fixed income markets. Written by two senior practitioners supporting the risk management function of a global money management firm, it blends finance, economics, mathematics, and common sense.