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Global Fixed Income Markets and Portfolio Management

In: Advances In International Investments Traditional and Alternative Approaches

Author

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  • Xiaoqing Eleanor Xu

    (Stillman School of Business, Seton Hall University, 400 South Orange Avenue, South Orange, NJ 07079, USA)

Abstract

The globalization and innovation of the world's fixed income markets in the past two decades have created tremendous opportunities for investors and portfolio managers who are seeking more investment alternatives, return enhancement, and risk diversification. This chapter discusses recent advances in global fixed income markets, focusing on four areas that deserve the most attention: the creation of the Euro and its impact on the global bond market, securitized debt and covered bonds, inflation-linked bonds and emerging market bonds. Finally, I discuss the risk management of fixed income portfolios in a global context.

Suggested Citation

  • Xiaoqing Eleanor Xu, 2008. "Global Fixed Income Markets and Portfolio Management," World Scientific Book Chapters, in: Hung-Gay Fung & Xiaoqing Eleanor Xu & Jot Yau (ed.), Advances In International Investments Traditional and Alternative Approaches, chapter 5, pages 111-133, World Scientific Publishing Co. Pte. Ltd..
  • Handle: RePEc:wsi:wschap:9789812770363_0005
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    More about this item

    Keywords

    Global Investment; Traditional and Alternative Investments; Equity Investments; Fixed Income Investments; Portfolio Management; Derivatives; Risk Management;
    All these keywords.

    JEL classification:

    • F3 - International Economics - - International Finance
    • G21 - Financial Economics - - Financial Institutions and Services - - - Banks; Other Depository Institutions; Micro Finance Institutions; Mortgages

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