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Reading 31: Fixed-Income Portfolio Management—Part II- L

 

LOS g: Evaluate the sources of excess return for an international bond portfolio.

Q1. One way that international bond portfolio managers attempt to enhance portfolio returns is to correctly anticipate interest rate and yield curve changes. This strategy is called:

A)   duration management.

B)   sector selection.

C)   bond market selection.

ty

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thank you

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[em50]

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thanks.

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tq

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A

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c

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x

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 thanks

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