Frank J. Fabozzi
About the Author
Frank J. Fabozzi is a preeminent authority in fixed income securities and portfolio management, with a career spanning decades as a professor, researcher, and practitioner in the financial industry. Holding a doctorate in finance, he has authored or edited over 75 books that demystify complex investment strategies for academics, professionals, and investors alike. His work has profoundly influenced the education and practice of finance worldwide, earning him recognition as a leading voice in quantitative analysis and risk management. Through his extensive publications, Fabozzi continues to bridge theoretical finance with practical applications, helping readers navigate the intricacies of modern markets with clarity and precision.
