Frank J. Fabozzi bibliography

190 books from 1981 to 2025, 449 editions listed.

Every Frank J. Fabozzi book, by year of first publication

YearTitleEditions
1981Equipment leasingBook2
1981Case History of Bank FailuresBook1
1983The Handbook of fixed income securitiesHardcover, Book4
1985The Handbook of mortgage-backed securitiesHardcover2
1985Smarter moneyBook1
1986Advances in futures and options researchHardcover1
1986Advances in Futures and Options Research/Part B (Advances in Futures & Options Research, Vol. 1)Hardcover1
1987Mortgage-backed securitiesBook6
1987Advances in Futures and Options Research: A Research Annual : Part A, Options Hardcover1
1988Fixed income mathematicsBook4
1989Bond markets, analysis and strategiesBook14
1990Pension fund investment managementBook1
1991Cost Accounting - Concepts and Applications for Managerial Decision MakingHardcover1
1992Capital marketsBook11
1992Mortgage and mortgage-backed securities marketsBook1
1992The International Money MarketsHardcover1
1994Foundations of financial markets and institutionsHardcover, Book10
1994Financial Management and AnalysisBook4
1994Collateralized Mortgage ObligationsHardcover, Paperback, Book3
1994Advanced fixed income portfolio managementBook1
1994CMO portfolio managementBook1
1994Municipal bond portfolio managementBook1
1995Investment managementBook3
1995Valuation of Fixed Income Securities and DerivativesPaperback, Book3
1995Contabilidad de CostosPaperback1
1995Project Financing 6th EditionPaperback1
1996Bond Portfolio ManagementHardcover, Book3
1996Asset-Backed Securities (Frank J. Fabozzi Series)Book1
1996Measuring and Controlling Interest Rate RiskHardcover1
1997Fixed Income SecuritiesHardcover, Book4
1997Handbook of equity style managementBook3
1997Credit Union Investment ManagementPaperback, Book2
1997Selected Topics in Bond Portfolio ManagementPaperback, Book2
1997Treasury Securities and DerivativesHardcover, Book2
1997Handbook of Emerging Fixed Income and Currency Markets (Frank J. Fabozzi Series)Book1
1997Investment Management One ColorBook1
1997Managing fixed income portfoliosBook1
1997Professional perspectives on indexingHardcover1
1997StreetwiseBook1
1998Active Equity Portfolio ManagementHardcover, Book3
1998Perspectives on International Fixed Income InvestingHardcover, Book3
1998Bank Loans Hardcover, Book2
1998Handbook of Portfolio ManagementHardcover, Book2
1998Handbook of Structured Financial ProductsHardcover, Book2
1998Managing MBS portfoliosBook2
1998Perspectives on Interest Rate Risk Management for Money Managers and TradersHardcover, Book2
1998Selected Topics in Equity Portfolio ManagementHardcover, Book2
1998The Handbook of Corporate Debt InstrumentsHardcover, Book2
1998Advances in the valuation and management of mortgage-backed securitiesBook1
1998Issuer perspectives on securitizationBook1
1998The Handbook of Commercial Mortgage-Backed Securities, 2nd EditionBook1
1998The handbook of stable value investmentsBook1
1998Trends in commercial mortgage-backed securitiesBook1
1999Analysis of Financial StatementsHardcover, Book11
1999Duration, Convexity, and Other Bond Risk MeasuresHardcover, Book3
1999Derivatives and Equity Portfolio ManagementHardcover, Book2
1999Equity Portfolio ManagementHardcover, Book2
1999Handbook of Inflation Indexed Bonds (Frank J. Fabozzi Series)Book1
1999Perspectives on investment management of public pension fundsBook1
2000Fixed income analysis for the chartered financial analyst programBook3
2000Floating-Rate SecuritiesHardcover, Book2
2000Valuation of Interest Rate Swaps and SwaptionsHardcover, Book2
2000Cash Management Hardcover1
2000Investing in asset-backed securitiesBook1
2000Investing In Commercial Mortgage-Backed SecuritiesHardcover1
2000The handbook of nonagency mortgage-backed securitiesBook1
2000Value-Based MetricsBook1
2001Introduction to Fixed Income AnalyticsHardcover, Book9
2001Accessing Capital Markets Through SecuritizationHardcover, Book2
2001Bond Credit Analysis Hardcover, Book2
2001Real Estate Backed SecuritiesHardcover, Book2
2001Investing in Collateralized Debt ObligationsBook1
2001Professional Perspectives on Fixed Income Portfolio Management (FIPM), Volume 2Hardcover1
2001The Use of Derivatives in Tax PlanningHardcover1
2002The theory and practice of investment managementBook9
2002Collateralized Debt ObligationsBook6
2002Capital BudgetingBook3
2002The global money marketsBook3
2002Interest Rate, Term Structure, and Valuation ModelingBook2
2002The handbook of financial instrumentsBook2
2003Measuring and Controlling Interest Rate and Credit RiskBook4
2003Managing a Corporate Bond PortfolioBook2
2003Fndtns Fin Mkts and Gd EbizBook1
2003Professional Perspectives on Fixed Income Portfolio Management, Volume 4Book1
2004Credit DerivativesBook3
2004Financial Management and Analysis WorkbookBook3
2004Mathematics of Financial Modeling and Investment ManagementBook2
2004Short SellingBook2
2004The handbook of European fixed income securitiesBook2
2004Bond Markets Analy and Psychology of InvestgBook1
2004Handbook of European Fixed Income SecuritiesBook1
2004Handbook of European Structured Financial ProductsBook1
2004The handbook of European structured financial productsBook1
2004The Theory and Practice of Investment Management WorkbookPaperback1
2005Advanced Bond Portfolio ManagementHardcover, Paperback, Book5
2005Securities FinanceBook4
2005Fat-Tailed and Skewed Asset Return DistributionsBook3
2005Bold Thinking on Investment ManagementHardcover1
2005Handbook of Fixed Income SecuritiesBook1
2005Portfolio and Investment ManagementPaperback1
2006Financial Modeling of the Equity MarketBook5
2006Introduction to Structured Finance (Frank J. Fabozzi Series)Book3
2006Trends in Quantitative FinancePaperback1
2007Operational RiskBook5
2007Fixed Income AnalysisBook4
2007Fixed Income Analysis (CFA Institute Investment Series)Book4
2007Developments in Collateralized Debt ObligationsBook3
2007Fixed Income Analysis WorkbookBook3
2007Professional Perspectives on Fixed Income Portfolio ManagementBook2
2007Robust Portfolio Optimization and ManagementBook2
2007Robust Portfolio Optimization and Management (Frank J Fabozzi Series)Book2
2007Advances in Fixed Income Valuation Modeling and Risk ManagementBook1
2007Financial EconometricsBook1
2007Fixed Income Analysis, Workbook (CFA Institute Investment Series)Book1
2007Investing in Emerging Fixed Income MarketsBook1
2007Subprime Consumer LendingBook1
2007The Complete CFO HandbookHardcover1
2008The Handbook of Municipal BondsHardcover, Book6
2008Introduction to SecuritizationBook5
2008Structured Products and Related Credit DerivativesHardcover, Book5
2008Subprime Mortgage Credit DerivativesBook4
2008Complete CFO HandbookBook3
2008Advanced Stochastic Models, Risk Assessment, and Portfolio OptimizationHardcover, Book2
2008Bayesian Methods in FinanceBook2
2008Handbook of Commodity InvestingBook2
2008Handbook of Finance, Financial Markets and InstrumentsBook2
2008Applied Equity ValuationBook1
2008Challenges in quantitative equity managementBook1
2008Fixed Income Analysis 2E (Cfa) and Student Workbook SetBook1
2008Foundations of Markets and Institutions (4th Edition)Hardcover1
2008Perspectives on Equity IndexingBook1
2008Professional Perspectives on Fixed Income Portfolio Management, Volume 2Book1
2008The Handbook of Commodity Investing (Frank J. Fabozzi Series)Hardcover1
2008Use of Derivatives in Tax PlanningBook1
2009FinanceBook4
2009Foundations and Applications of the Time Value of MoneyBook4
2009Handbook of Financial InstrumentsBook1
2009Institutional investment managementBook1
2009Introduction to Financial EconomicsBook1
2009Leveraged FinanceBook1
2009Study Guide, Foundations of Markets and InstitutionsBook1
2010Probability and Statistics for FinanceBook5
2010Handbook of Traditional and Alternative Investment VehiclesBook4
2010Simulation and optimization in financeBook4
2010Basics of FinanceBook3
2010Quantitative Equity InvestingBook3
2010Financial Risk ManagementBook2
2010Investment Management after the Global Financial CrisisPaperback1
2010Simulation and Optimization in Finance + WebsiteBook1
2011Financial Models with Levy Processes and Volatility ClusteringBook4
2011Probability Metrics Approach to Financial Risk MeasuresBook4
2011Financial economicsBook3
2011Pricing Derivatives by SimulationBook3
2011Risk and UncertaintyBook3
2011Equity Valuation and Portfolio ManagementBook2
2011Fund Trustee Financial HandbookBook1
2012Encyclopedia of Financial ModelsBook4
2012Encyclopedia of Financial Models, Volume IBook3
2012Encyclopedia of Financial Models, Volume IIBook3
2012Encyclopedia of Financial Models, Volume IIIBook3
2012Project financingBook3
2012Bond Markets, Analysis and Strategies (1-Download)Book1
2012Bond Markets, Analysis and Strategies (Subscription)Book1
2013Financial Advice and Investment DecisionsBook6
2013Mathematical Methods for FinanceBook5
2013Fixed Income Analysis 2e WLYETX for Montclair State UniversityBook1
2014The basics of financial econometricsBook5
2015Robust Equity Portfolio ManagementBook3
2015Advanced Risk Management and Portfolio OptimizationBook2
2015Bond Markets, Analysis, and Strategies (9th Edition)Book1
2015Capital Markets - Institutions, Instruments, and Risk Management 5eBook1
2015The Methods of Distances in the Theory of Probability and StatisticsPaperback1
2016Entrepreneurial Finance and Accounting for High-Tech CompaniesBook3
2016Investing in Mortgage-Backed and Asset-Backed SecuritiesBook3
2016Portfolio Construction and AnalyticsBook3
2016Fractional Calculus and Fractional Processes with Applications to Financial EconomicsBook2
2018Recent Evidence on the Distribution Patterns in Chapter 11 ReorganizationsBook1
2019Foundations of Global Financial Markets and Institutions, Fifth EditionBook1
2019Handbook of Heavy-Tailed Distributions in Asset Management and Risk ManagementHardcover1
2020Fundamentals of Institutional Asset ManagementBook2
2021Asset ManagementBook1
2021Bond Markets, Analysis, and Strategies, Tenth EditionBook1
2021Handbook of Fixed Income Securities, Ninth EditionBook1
2022Fixed Income Mathematics, 5/eBook1
2022Introduction to FinanceBook1
2023Quantitative Global Bond Portfolio ManagementBook1
2025Network Models in FinanceBook3
2025Economics of FinTechBook1
2025Introduction to Fixed-Income Analysis and Portfolio ManagementBook1
2025Simulation, Optimization, and Machine Learning for Finance, Second EditionBook1