BlackRock's Guide to Fixed-Income Risk ManagementPraise for BlackRocks Guide to Fixed Income Risk Management This book is a greatly revised and expanded version of the classic 2000 book Risk Management: Approaches for Fixed Income Markets by Golub and Tilman. The vast experiences of Golub and his 46 colleagues have shaped this agenda so that it is both precise and practical. It discusses how the markets have evolved and what managers have done as a result. If you ever wondered how risk management is
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