David Jamieson Bolder

David Jamieson Bolder

4 books

About the Author

David Jamieson Bolder is a distinguished financial analyst and author with over two decades of experience in the realm of fixed-income securities and portfolio management. Holding advanced degrees in economics and finance from leading institutions, he has held senior positions at major investment banks and asset management firms, where he specialized in developing sophisticated models for bond valuation, risk assessment, and portfolio optimization. Bolder's expertise bridges the gap between theoretical finance and practical application, making complex quantitative concepts accessible to professionals and academics alike. His seminal work, Fixed-Income Portfolio Analytics: A Practical Guide to Implementing, Monitoring and Understanding Fixed-Income Portfolios, has become an essential resource for practitioners seeking to navigate the intricacies of fixed-income markets. Beyond writing, Bolder contributes to industry journals and lectures internationally on quantitative finance, advocating for robust analytical frameworks in an era of volatile interest rates and evolving regulatory landscapes.

Writing style
technical precise practical

Books by David Jamieson Bolder