The Frank J. Fabozzi Series
The Frank J. Fabozzi series is an authoritative series of finance books for finance professionals, academics, strategists, investors, and students. Mr. Fabozzi's works span a great range of topics in the areas of investment management, research, and opportunity, as well as corporate finance, for both the academic and practitioner alike. By working with the brightest minds in finance, he strives to bring finance readers the most comprehensive and cutting-edge information available today. Please browse through the listing provided below for a sample of works including books on fixed income analytics, financial modeling, mortgage-backed securities, municipal bonds, credit derivatives, financial statement analysis, and so much more.
Frank J. Fabozzi, Ph.D., CFA, CPA, is Professor in the Practice of Finance and Becton Fellow at Yale University's School of Management. He is the editor of the Journal of Portfolio Management, and editor and author of over 100 definitive finance books. Mr. Fabozzi sits on the board of directors of the BlackRock family of closed-end funds. In November 2002, he was inducted into the Fixed Income Analysts Society Hall of Fame and in 2007 was the recipient of the C. Stewart Sheppard Award. Please visit www.FrankFabozzi.com for additional resources.