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Title: Fixed-Income Securities : Valuation, Risk Management and Portfolio Strategies (The Wiley Finance Series) by Lionel Martellini, Philippe Priaulet, Stéphane Priaulet ISBN: 0-470-85277-1 Publisher: John Wiley & Sons Pub. Date: 11 July, 2003 Format: Paperback Volumes: 1 List Price(USD): $85.00 |
Average Customer Rating: 5 (1 review)
Rating: 5
Summary: Thank you Martellini et al.
Comment: This is an outstanding textbook that is worth every penny I spent on it. It has everything you need for an MBA in finance course on fixed-income securities.
This book is the only one on the subject that has several worked out examples and end of chapter problems and solutions. That is very useful if you want to master the subject. You will encounter plenty of practice opportunities.
All the other books-Tuckman, Fabozzi, Sundaresan, and the rest-while they make good reference books to have on your shelf, they are very poor textbooks to learn from.
If you want to master fixed-income securities, you need to have this textbook.
Thank you,
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