ISBN-13: 9781535326391 / Angielski / Miękka / 2016 / 238 str.
Financial markets are unpredictable, and so are bonds despite their status as "fixed income" assets. Profiting from such markets requires an edge, a deeper comprehension and fresh ideas. This book provides a chronological narrative of the global fixed income markets from 2012 to 2015, offering pragmatic and unique perspectives for investment analysts, macro-oriented fund managers, academic researchers and students of financial economics.