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Cover for 9780691050621 Cover for 9780691123356 Cover for 9780691166261 Cover for 9780691089157 Cover for 9780767907187 Cover for 9780767923637 Cover for 9780393246100 Cover for 9781118390139 Cover for 9781118457085 Cover for 9780071387071 Cover for 9780071667319 Cover for 9780471218272 Cover for 9780471446392
cover image for 9780691166261
An expert on market volatility offers a timely updated edition of his best-selling study that shows that the value of the stock market may be significantly inflated and urges cautious optimism, predicting that the market may show poorer performance in the future.

Hardcover:

9780691166261 | 3 rev exp edition (Princeton Univ Pr, January 25, 2015), cover price $29.95
9780691123356 | 2 edition (Princeton Univ Pr, February 22, 2005), cover price $35.00 | About this edition: An expert on market volatility offers a timely updated edition of his best-selling study that shows that the value of the stock market may be significantly inflated and urges cautious optimism, predicting that the market may show poorer performance in the future.
9780691050621 | Princeton Univ Dept of Art &, March 1, 2000, cover price $42.00 | About this edition: An expert on market volatility shows that the value of the stock market may be significantly inflated and urges cautious optimism, predicting that the market may show poorer performance in the future

Paperback:

9780767923637 | 2 edition (Crown Pub, May 9, 2006), cover price $16.00 | About this edition: An expert on market volatility offers a timely updated edition of his best-selling study that shows that the value of the stock market may be significantly inflated and urges cautious optimism, predicting that the market may show poorer performance in the future.
9780767907187 | Broadway Books, April 1, 2001, cover price $15.95 | About this edition: The author argues that the stock market may be significantly inflated and urges cautious optimism, predicting that the market may show poorer performance in the future.
9780691089157 | Princeton Univ Dept of Art &, March 1, 2001, cover price $29.95

cover image for 9780393246100

Hardcover:

9780393246100 | 25 anv edition (W W Norton & Co Inc, October 27, 2014), cover price $25.95

By Frederick Kjellson (editor)

Paperback:

9781614702276 | Nova Science Pub Inc, November 30, 2011, cover price $55.00

cover image for 9780071667319
A dynamic, equity-style approach to investing in today's bond market "Tony Crescenzi knows bonds and his book proves it. From 'Fedspeak' to Treasury buybacks, The Strategic Bond Investor helps to explain the mysteries of the bond market and even offers tips on how to forecast interest rates. Sign me up—I can always learn something new!"—Bill Gross, Managing Director at Pacific Investment Management Company Bond investing can be every bit as exciting and profitable as "playing the stock market." The Strategic Bond Investor is the first book to approach fixed-income investing from an equity-style perspective. This fast-paced book provides readers with helpful tips, tools, and strategies for tracking market sentiment, spotting market extremes, analyzing volume and liquidity, and dozens of other techniques that were­­up until now­­limited primarily to the equity markets. The Strategic Bond Investor reveals a dramatic new approach for using bonds to balance portfolios while grabbing profit opportunities as they present themselves. It represents a new style of bond investing, bold yet risk-conscious, that is long overdue for today's transformed market environment. Investors looking to diversify their portfolios will discover: Key economic releases and how they influence bond prices Popular fixed-income portfolio management strategies Best-performing bonds in a variety of economic circumstances

Hardcover:

9780071667319 | 2 rev exp edition (McGraw-Hill, June 21, 2010), cover price $53.00
9780071387071 | McGraw-Hill, July 1, 2002, cover price $34.95 | About this edition: A dynamic, equity-style approach to investing in today's bond market "Tony Crescenzi knows bonds and his book proves it.

cover image for 9780471446392
Product Description: Praise for Managing a Corporate Bond Portfolio "Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management. If you want to understand the latest thinking in corporate bonds, what drives prices and why, read this book...read more

Hardcover:

9780471218272 | John Wiley & Sons Inc, December 1, 2001, cover price $110.00 | About this edition: Praise for Managing a Corporate Bond Portfolio "Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management.

Miscellaneous:

9780471446392 | John Wiley & Sons Inc, April 21, 2003, cover price $90.00 | About this edition: Praise for Managing a Corporate Bond Portfolio "Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management.

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