
Bond Markets, Analysis, and Strategies, eleventh edition
$287.75
- Hardcover
956 pages
- Release Date
23 June 2026
Summary
The comprehensively updated new edition of a bestselling textbook that covers fundamental features of bonds, analytical techniques, and portfolio strategies.
Now in its 11th edition, this bestselling textbook illuminates the complexities and dynamics of the bond markets, integrating rigorous technical content with real-world case studies to effectively bridge theory and application. Advances in technology and data availability have fundamentally transformed how fixed-income securities…
Book Details
| ISBN-13: | 9780262052368 |
|---|---|
| ISBN-10: | 0262052369 |
| Author: | Frank J. Fabozzi |
| Publisher: | MIT Press Ltd |
| Imprint: | MIT Press |
| Format: | Hardcover |
| Number of Pages: | 956 |
| Release Date: | 23 June 2026 |
| Weight: | 567g |
| Dimensions: | 254mm x 203mm |
You Can Find This Book In
About The Author
Frank J. Fabozzi
Frank J. Fabozzi is Professor of Practice in Finance at Johns Hopkins Carey Business School. He is the author of Introduction to Fixed-Income Analysis and Portfolio Management, Capital Markets- Institutions, Instruments, and Risk Management, 6e and Entrepreneurial Finance and Accounting for High-Tech Companies and coauthor of Simulation, Optimization, and Machine Learning for Finance, The Economics of FinTech, and Foundations of Global Financial Markets and Institutions (all MIT Press).
Francesco A. Fabozzi is Research Director at Yale School of Management’s International Center for Finance. He serves as the Managing Editor of The Journal of Financial Data Science and the Director of Data Science at the CFA Institute Research Foundation. He is the coauthor of six books in asset management and corporate finance.
Returns
This item is eligible for free returns within 30 days of delivery. See our returns policy for further details.




