Click to edit Master title styleClick to edit Master text stylesSecond LevelThird LevelFourth LevelFifth Level?2000 Prentice Hall第四讲 风险与收益的基本原理 1掌握资产的风险与收益的含义 2掌握资产风险的衡量方法 3掌握资产组合总风险的构成及系统风险的衡量方法
CHAPTER 4BOND PRICE VOLATILITYCHAPTER SUMMARYTo use effective bond portfolio strategies it is necessary to understand the price volatility of bonds resulting from changes in interest rates. The pur