F. Hagenstein
About the Author
F. Hagenstein is a seasoned finance professional with over two decades of experience in the intricate world of fixed income and credit markets. Renowned for his expertise in active portfolio management, Hagenstein has advised major institutional investors on navigating volatile interest rate environments and optimizing credit exposures. His insights draw from hands-on roles at leading global banks, where he spearheaded innovative strategies to enhance returns while mitigating risks. As an author, Hagenstein demystifies complex financial instruments for practitioners and academics alike, emphasizing practical applications over theoretical abstractions. His work bridges the gap between market dynamics and actionable investment decisions, making sophisticated concepts accessible to a broad audience in the ever-evolving landscape of global finance.
Books by F. Hagenstein
