Frank J. Fabozzi
Use attributes for filter ! | |
Gender | Male |
---|---|
Age | 76 |
Nationality | American |
Founded | Frank J. Fabozzi Publishing |
Job | Professor |
Writer | |
Investor | |
Educator | |
Economist | |
Education | The City College of New York |
Date of birth | January 1,1948 |
Interests | Finance |
Known for | Co-developer of the Kalotay–Williams–Fabozzi model |
Date of Reg. | |
Date of Upd. | |
ID | 466363 |
Bond Markets, Analysis, and Strategies
Fixed Income Securities
Foundations of Financial Markets and Institutions
Fixed Income Analysis Workbook
Introduction to securitization
Mortgage- Backed Securities: Products, Structuring, and Analytical Techniques
Capital Markets: Institutions and Instruments
The global money markets
Capital Budgeting: Theory and Practice
Managing a Corporate Bond Portfolio
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation
Robust Portfolio Optimization and Management
Analysis of Financial Statements
Equity Valuation and Portfolio Management
Quantitative Equity Investing: Techniques and Strategies
Financial Management and Analysis
Bond Portfolio Management
Probability and Statistics for Finance
Valuation of Fixed Income Securities and Derivatives
Capital Markets: Institutions, Instruments, and Risk Management
Real Estate- Backed Securities
The Handbook of Fixed Income Securities, 6th Edition
Collateralized Debt Obligations: Structures and Analysis
Foundations and Applications of the Time Value of Money
The Basics of Financial Econometrics: Tools, Concepts, and Asset Management Applications
The Basics of Finance: An Introduction to Financial Markets, Business Finance, and Portfolio Management
Floating-Rate Securities
Portfolio Construction and Analytics
Fixed Income Analysis for the Chartered Financial Analyst Program
The Handbook of Municipal Bonds
Measuring and Controlling Interest Rate and Credit Risk
The Complete CFO Handbook: From Accounting to Accountability
Leveraged Finance: Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives
Finance: Capital Markets, Financial Management, and Investment Management
The Mathematics of Financial Modeling and Investment Management
Equipment Leasing
The Handbook of Traditional and Alternative Investment Vehicles: Investment Characteristics and Strategies
Bayesian Methods in Finance
Financial Advice and Investment Decisions: A Manifesto for Change
Financial Modeling of the Equity Market: From CAPM to Cointegration
Robust Equity Portfolio Management: Formulations, Implementations, and Properties Using MATLAB
Mathematical Methods for Finance: Tools for Asset and Risk Management
Pension Fund Investment Management
Investment Management After the Global Financial Crisis
The Theory and Practice of Investment Management Workbook: Step-by-Step Exercises and Tests to Help You Master The Theory and Practice of Investment Management
Perspectives on International Fixed Income Investing
Project Financing
Cost Accounting: Concepts and Applications for Managerial Decision Making
Test Bank
The Handbook of Commodity Investing
Fat-Tailed and Skewed Asset Return Distributions: Implications for Risk Management, Portfolio Selection, and Option Pricing
Fixed Income Securities
Foundations of Financial Markets and Institutions
Fixed Income Analysis Workbook
Introduction to securitization
Mortgage- Backed Securities: Products, Structuring, and Analytical Techniques
Capital Markets: Institutions and Instruments
The global money markets
Capital Budgeting: Theory and Practice
Managing a Corporate Bond Portfolio
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation
Robust Portfolio Optimization and Management
Analysis of Financial Statements
Equity Valuation and Portfolio Management
Quantitative Equity Investing: Techniques and Strategies
Financial Management and Analysis
Bond Portfolio Management
Probability and Statistics for Finance
Valuation of Fixed Income Securities and Derivatives
Capital Markets: Institutions, Instruments, and Risk Management
Real Estate- Backed Securities
The Handbook of Fixed Income Securities, 6th Edition
Collateralized Debt Obligations: Structures and Analysis
Foundations and Applications of the Time Value of Money
The Basics of Financial Econometrics: Tools, Concepts, and Asset Management Applications
The Basics of Finance: An Introduction to Financial Markets, Business Finance, and Portfolio Management
Floating-Rate Securities
Portfolio Construction and Analytics
Fixed Income Analysis for the Chartered Financial Analyst Program
The Handbook of Municipal Bonds
Measuring and Controlling Interest Rate and Credit Risk
The Complete CFO Handbook: From Accounting to Accountability
Leveraged Finance: Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives
Finance: Capital Markets, Financial Management, and Investment Management
The Mathematics of Financial Modeling and Investment Management
Equipment Leasing
The Handbook of Traditional and Alternative Investment Vehicles: Investment Characteristics and Strategies
Bayesian Methods in Finance
Financial Advice and Investment Decisions: A Manifesto for Change
Financial Modeling of the Equity Market: From CAPM to Cointegration
Robust Equity Portfolio Management: Formulations, Implementations, and Properties Using MATLAB
Mathematical Methods for Finance: Tools for Asset and Risk Management
Pension Fund Investment Management
Investment Management After the Global Financial Crisis
The Theory and Practice of Investment Management Workbook: Step-by-Step Exercises and Tests to Help You Master The Theory and Practice of Investment Management
Perspectives on International Fixed Income Investing
Project Financing
Cost Accounting: Concepts and Applications for Managerial Decision Making
Test Bank
The Handbook of Commodity Investing
Fat-Tailed and Skewed Asset Return Distributions: Implications for Risk Management, Portfolio Selection, and Option Pricing
Frank J. Fabozzi Life story
Frank J. Fabozzi is an American economist, educator, writer, and investor, currently Professor of Practice at The Johns Hopkins University Carey Business School and a Member of Edhec Risk Institute.