How To Manage Maturity Risk In Bond Funds As The Fed Pulls Back

April 25, 2014   |   April 2014 Bond Updates
Knowing and understanding the risks associated with an aggregate fixed-income portfolio, and researching the tools to avoid those inherent risks and implement a duration-targeting strategy.

View more at: http://www.forbes.com/sites/johnjacobs/2014/04/24/how-to-manage-constant-maturity-risk-inherent-in-traditional-bond-funds/
 
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