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OverviewThe bestselling investing classic—updated with the information and insights you need to profit in today’s $110 trillion global bond market The Strategic Bond Investor provides an active yet risk-conscious approach to maximize investing returns in the world’s largest financial market. This updated edition addresses all the new and emerging issues you’ll face today. A top executive at PIMCO and a member of the firm’s elite Investment Committee, Anthony Crescenzi covers: How central banks have influenced the bond market since the 2008 financial crisis and in the 2020 crisis—and the role they’re likely to play in the decade to come The peak of $17 trillion of negative yielding bonds, including its causes, how to navigate this challenging condition, and the chilling question: Can negative yields happen in the U.S.? The causes of today’s low interest rates and why they are likely to stay low into the 2030s ESG investing and its broad implications for the financial markets Keynesian Endpoint, a topic that describes a situation of nations that can’t borrow in the fixed income market—and the tools and monetary and fiscal policies to deal with it The role of interest rates and central banks in today’s populist era Crescenzi draws on his personal conversations with Alan Greenspan, Ben Bernanke, Janet Yellen, and other top figures, and provides a unique inside look at bond investing drawn from his experience in PIMCO’s esteemed investment process, along with numerous types of investment strategies to meet various investing goals. All data have been fully updated to accurately reflect the context of today’s climate, including the market turmoil and policy response to the 2020 coronavirus crisis. With tens of millions of Baby Boomers poised to make history’s largest transfer of wealth to their heirs, a reassessment of the bond market—the largest segment of the financial market and a relatively stable one—is in order. This new edition of The Strategic Bond Investor is exactly what you need to generate profits while minimizing risk in this new world of investing. Full Product DetailsAuthor: Anthony Crescenzi , Manny RomanPublisher: McGraw-Hill Education Imprint: McGraw-Hill Education Edition: 3rd edition Weight: 0.744kg ISBN: 9781260473674ISBN 10: 1260473678 Pages: 496 Publication Date: 03 March 2021 Audience: General/trade , General Format: Hardback Publisher's Status: Active Availability: Available To Order ![]() We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately. Table of ContentsForeword by Manny Roman 1 The Importance of the Bond Market 2 Why Low Interest Rates Will Likely Persist into the 2030s 3 Negative Interest Rates: Can It Happen in the United States? 4 The Composition and Characteristics of the Bond Market 5 Bond Basics Building Blocks and Warning Labels 6 Risks Facing Today’s Bond Investors Asset Diversification Does Not Equal Risk Diversification 7 Don’t Fight the Fed The Powerful Role of the Federal Reserve and the World’s Central Banks 8 The Yield Curve The Bond Market’s Crystal Ball 9 Real Yields Why They Are Important to Understand 10 The Five Tenets of Successful Interest Rate Forecasting 11 From Tulips to Treasuries Tracking Market Sentiment to Forecast Market Behavior 12 Credit Ratings An Essential Tool for a Bond Investor to Be a True Guardian of Capital 13 Bond Strategies from a Bond Manager 14 The Keynesian Endpoint Reaching the Practical Limits of Debt Use 15 Using Economic Data to Inform Your Investment Decisions 16 ESG (Environmental, Social, Governance) Investing This Changes Everything, Including the World 17 How Interest Rates Have Shaped the Political Landscape Notes IndexReviewsAuthor InformationMcGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide Tab Content 6Author Website:Countries AvailableAll regions |