01361nam a22003614a 4500999001700000001000600017003000900023005001700032008004100049010001700090015001900107016001800126020002500144020002200169035002400191040005200215042001400267050002200281082001900303100002900322245015400351260003700505300004500542504006700587526000800654650003600662650002800698650002000726650003000746852004000776942001200816952017100828 c41613d4161336438BD-DhAAL20211129104530.0191023t2011 nyua b 001 0 eng d a 2011410497 aGBB0421092bnb7 a0155153002Uk a9780071623704 (hbk.) a0071623701 (hbk.) a(OCoLC)ocn573152321 aUKMcUKMdYDXCPdC#PdCDXdUKMGBdDLCdBD-DhAAL alccopycat00aHG4650b.B53 201104a332.6320442221 aBhansali, Vineer.93640710aBond portfolio investing and risk management :bpositioning fixed income portfolios for robust returns after the financial crisis /cVineer Bhansali. aNew York :bMcGraw-Hill,cc2011. axxi, 289 pages :billutrations ;c24 cm. aIncludes bibliographical references (pages 279-282) and index. aBBS 0aFixed-income securities.936408 0aRisk management.936409 0aFinance.936410 0aBusiness & finance943289 aAyesha Abed LibrarycGeneral Stacks 2ddccBK 00102ddc4070aBRACULbBRACULcGENd2019-10-17eKarim Internationalg10500.00l2m1o332.632044 BHAp3010036438r2025-07-22s2025-07-21t1v10500.00w2019-10-17yBK