Frank J. Fabozzi bibliography
190 books from 1981 to 2025, 449 editions listed.
Every Frank J. Fabozzi book, by year of first publication
| Year | Title | Editions |
|---|---|---|
| 1981 | Equipment leasingBookOwned | 2 |
| 1981 | Case History of Bank FailuresBookOwned | 1 |
| 1983 | The Handbook of fixed income securitiesHardcover, BookOwned | 4 |
| 1985 | The Handbook of mortgage-backed securitiesHardcoverOwned | 2 |
| 1985 | Smarter moneyBookOwned | 1 |
| 1986 | Advances in futures and options researchHardcoverOwned | 1 |
| 1986 | Advances in Futures and Options Research/Part B (Advances in Futures & Options Research, Vol. 1)HardcoverOwned | 1 |
| 1987 | Mortgage-backed securitiesBookOwned | 6 |
| 1987 | Advances in Futures and Options Research: A Research Annual : Part A, Options HardcoverOwned | 1 |
| 1988 | Fixed income mathematicsBookOwned | 4 |
| 1989 | Bond markets, analysis and strategiesBookOwned | 14 |
| 1990 | Pension fund investment managementBookOwned | 1 |
| 1991 | Cost Accounting - Concepts and Applications for Managerial Decision MakingHardcoverOwned | 1 |
| 1992 | Capital marketsBookOwned | 11 |
| 1992 | Mortgage and mortgage-backed securities marketsBookOwned | 1 |
| 1992 | The International Money MarketsHardcoverOwned | 1 |
| 1994 | Foundations of financial markets and institutionsHardcover, BookOwned | 10 |
| 1994 | Financial Management and AnalysisBookOwned | 4 |
| 1994 | Collateralized Mortgage ObligationsHardcover, Paperback, BookOwned | 3 |
| 1994 | Advanced fixed income portfolio managementBookOwned | 1 |
| 1994 | CMO portfolio managementBookOwned | 1 |
| 1994 | Municipal bond portfolio managementBookOwned | 1 |
| 1995 | Investment managementBookOwned | 3 |
| 1995 | Valuation of Fixed Income Securities and DerivativesPaperback, BookOwned | 3 |
| 1995 | Contabilidad de CostosPaperbackOwned | 1 |
| 1995 | Project Financing 6th EditionPaperbackOwned | 1 |
| 1996 | Bond Portfolio ManagementHardcover, BookOwned | 3 |
| 1996 | Asset-Backed Securities (Frank J. Fabozzi Series)BookOwned | 1 |
| 1996 | Measuring and Controlling Interest Rate RiskHardcoverOwned | 1 |
| 1997 | Fixed Income SecuritiesHardcover, BookOwned | 4 |
| 1997 | Handbook of equity style managementBookOwned | 3 |
| 1997 | Credit Union Investment ManagementPaperback, BookOwned | 2 |
| 1997 | Selected Topics in Bond Portfolio ManagementPaperback, BookOwned | 2 |
| 1997 | Treasury Securities and DerivativesHardcover, BookOwned | 2 |
| 1997 | Handbook of Emerging Fixed Income and Currency Markets (Frank J. Fabozzi Series)BookOwned | 1 |
| 1997 | Investment Management One ColorBookOwned | 1 |
| 1997 | Managing fixed income portfoliosBookOwned | 1 |
| 1997 | Professional perspectives on indexingHardcoverOwned | 1 |
| 1997 | StreetwiseBookOwned | 1 |
| 1998 | Active Equity Portfolio ManagementHardcover, BookOwned | 3 |
| 1998 | Perspectives on International Fixed Income InvestingHardcover, BookOwned | 3 |
| 1998 | Bank Loans Hardcover, BookOwned | 2 |
| 1998 | Handbook of Portfolio ManagementHardcover, BookOwned | 2 |
| 1998 | Handbook of Structured Financial ProductsHardcover, BookOwned | 2 |
| 1998 | Managing MBS portfoliosBookOwned | 2 |
| 1998 | Perspectives on Interest Rate Risk Management for Money Managers and TradersHardcover, BookOwned | 2 |
| 1998 | Selected Topics in Equity Portfolio ManagementHardcover, BookOwned | 2 |
| 1998 | The Handbook of Corporate Debt InstrumentsHardcover, BookOwned | 2 |
| 1998 | Advances in the valuation and management of mortgage-backed securitiesBookOwned | 1 |
| 1998 | Issuer perspectives on securitizationBookOwned | 1 |
| 1998 | The Handbook of Commercial Mortgage-Backed Securities, 2nd EditionBookOwned | 1 |
| 1998 | The handbook of stable value investmentsBookOwned | 1 |
| 1998 | Trends in commercial mortgage-backed securitiesBookOwned | 1 |
| 1999 | Analysis of Financial StatementsHardcover, BookOwned | 11 |
| 1999 | Duration, Convexity, and Other Bond Risk MeasuresHardcover, BookOwned | 3 |
| 1999 | Derivatives and Equity Portfolio ManagementHardcover, BookOwned | 2 |
| 1999 | Equity Portfolio ManagementHardcover, BookOwned | 2 |
| 1999 | Handbook of Inflation Indexed Bonds (Frank J. Fabozzi Series)BookOwned | 1 |
| 1999 | Perspectives on investment management of public pension fundsBookOwned | 1 |
| 2000 | Fixed income analysis for the chartered financial analyst programBookOwned | 3 |
| 2000 | Floating-Rate SecuritiesHardcover, BookOwned | 2 |
| 2000 | Valuation of Interest Rate Swaps and SwaptionsHardcover, BookOwned | 2 |
| 2000 | Cash Management HardcoverOwned | 1 |
| 2000 | Investing in asset-backed securitiesBookOwned | 1 |
| 2000 | Investing In Commercial Mortgage-Backed SecuritiesHardcoverOwned | 1 |
| 2000 | The handbook of nonagency mortgage-backed securitiesBookOwned | 1 |
| 2000 | Value-Based MetricsBookOwned | 1 |
| 2001 | Introduction to Fixed Income AnalyticsHardcover, BookOwned | 9 |
| 2001 | Accessing Capital Markets Through SecuritizationHardcover, BookOwned | 2 |
| 2001 | Bond Credit Analysis Hardcover, BookOwned | 2 |
| 2001 | Real Estate Backed SecuritiesHardcover, BookOwned | 2 |
| 2001 | Investing in Collateralized Debt ObligationsBookOwned | 1 |
| 2001 | Professional Perspectives on Fixed Income Portfolio Management (FIPM), Volume 2HardcoverOwned | 1 |
| 2001 | The Use of Derivatives in Tax PlanningHardcoverOwned | 1 |
| 2002 | The theory and practice of investment managementBookOwned | 9 |
| 2002 | Collateralized Debt ObligationsBookOwned | 6 |
| 2002 | Capital BudgetingBookOwned | 3 |
| 2002 | The global money marketsBookOwned | 3 |
| 2002 | Interest Rate, Term Structure, and Valuation ModelingBookOwned | 2 |
| 2002 | The handbook of financial instrumentsBookOwned | 2 |
| 2003 | Measuring and Controlling Interest Rate and Credit RiskBookOwned | 4 |
| 2003 | Managing a Corporate Bond PortfolioBookOwned | 2 |
| 2003 | Fndtns Fin Mkts and Gd EbizBookOwned | 1 |
| 2003 | Professional Perspectives on Fixed Income Portfolio Management, Volume 4BookOwned | 1 |
| 2004 | Credit DerivativesBookOwned | 3 |
| 2004 | Financial Management and Analysis WorkbookBookOwned | 3 |
| 2004 | Mathematics of Financial Modeling and Investment ManagementBookOwned | 2 |
| 2004 | Short SellingBookOwned | 2 |
| 2004 | The handbook of European fixed income securitiesBookOwned | 2 |
| 2004 | Bond Markets Analy and Psychology of InvestgBookOwned | 1 |
| 2004 | Handbook of European Fixed Income SecuritiesBookOwned | 1 |
| 2004 | Handbook of European Structured Financial ProductsBookOwned | 1 |
| 2004 | The handbook of European structured financial productsBookOwned | 1 |
| 2004 | The Theory and Practice of Investment Management WorkbookPaperbackOwned | 1 |
| 2005 | Advanced Bond Portfolio ManagementHardcover, Paperback, BookOwned | 5 |
| 2005 | Securities FinanceBookOwned | 4 |
| 2005 | Fat-Tailed and Skewed Asset Return DistributionsBookOwned | 3 |
| 2005 | Bold Thinking on Investment ManagementHardcoverOwned | 1 |
| 2005 | Handbook of Fixed Income SecuritiesBookOwned | 1 |
| 2005 | Portfolio and Investment ManagementPaperbackOwned | 1 |
| 2006 | Financial Modeling of the Equity MarketBookOwned | 5 |
| 2006 | Introduction to Structured Finance (Frank J. Fabozzi Series)BookOwned | 3 |
| 2006 | Trends in Quantitative FinancePaperbackOwned | 1 |
| 2007 | Operational RiskBookOwned | 5 |
| 2007 | Fixed Income AnalysisBookOwned | 4 |
| 2007 | Fixed Income Analysis (CFA Institute Investment Series)BookOwned | 4 |
| 2007 | Developments in Collateralized Debt ObligationsBookOwned | 3 |
| 2007 | Fixed Income Analysis WorkbookBookOwned | 3 |
| 2007 | Professional Perspectives on Fixed Income Portfolio ManagementBookOwned | 2 |
| 2007 | Robust Portfolio Optimization and ManagementBookOwned | 2 |
| 2007 | Robust Portfolio Optimization and Management (Frank J Fabozzi Series)BookOwned | 2 |
| 2007 | Advances in Fixed Income Valuation Modeling and Risk ManagementBookOwned | 1 |
| 2007 | Financial EconometricsBookOwned | 1 |
| 2007 | Fixed Income Analysis, Workbook (CFA Institute Investment Series)BookOwned | 1 |
| 2007 | Investing in Emerging Fixed Income MarketsBookOwned | 1 |
| 2007 | Subprime Consumer LendingBookOwned | 1 |
| 2007 | The Complete CFO HandbookHardcoverOwned | 1 |
| 2008 | The Handbook of Municipal BondsHardcover, BookOwned | 6 |
| 2008 | Introduction to SecuritizationBookOwned | 5 |
| 2008 | Structured Products and Related Credit DerivativesHardcover, BookOwned | 5 |
| 2008 | Subprime Mortgage Credit DerivativesBookOwned | 4 |
| 2008 | Complete CFO HandbookBookOwned | 3 |
| 2008 | Advanced Stochastic Models, Risk Assessment, and Portfolio OptimizationHardcover, BookOwned | 2 |
| 2008 | Bayesian Methods in FinanceBookOwned | 2 |
| 2008 | Handbook of Commodity InvestingBookOwned | 2 |
| 2008 | Handbook of Finance, Financial Markets and InstrumentsBookOwned | 2 |
| 2008 | Applied Equity ValuationBookOwned | 1 |
| 2008 | Challenges in quantitative equity managementBookOwned | 1 |
| 2008 | Fixed Income Analysis 2E (Cfa) and Student Workbook SetBookOwned | 1 |
| 2008 | Foundations of Markets and Institutions (4th Edition)HardcoverOwned | 1 |
| 2008 | Perspectives on Equity IndexingBookOwned | 1 |
| 2008 | Professional Perspectives on Fixed Income Portfolio Management, Volume 2BookOwned | 1 |
| 2008 | The Handbook of Commodity Investing (Frank J. Fabozzi Series)HardcoverOwned | 1 |
| 2008 | Use of Derivatives in Tax PlanningBookOwned | 1 |
| 2009 | FinanceBookOwned | 4 |
| 2009 | Foundations and Applications of the Time Value of MoneyBookOwned | 4 |
| 2009 | Handbook of Financial InstrumentsBookOwned | 1 |
| 2009 | Institutional investment managementBookOwned | 1 |
| 2009 | Introduction to Financial EconomicsBookOwned | 1 |
| 2009 | Leveraged FinanceBookOwned | 1 |
| 2009 | Study Guide, Foundations of Markets and InstitutionsBookOwned | 1 |
| 2010 | Probability and Statistics for FinanceBookOwned | 5 |
| 2010 | Handbook of Traditional and Alternative Investment VehiclesBookOwned | 4 |
| 2010 | Simulation and optimization in financeBookOwned | 4 |
| 2010 | Basics of FinanceBookOwned | 3 |
| 2010 | Quantitative Equity InvestingBookOwned | 3 |
| 2010 | Financial Risk ManagementBookOwned | 2 |
| 2010 | Investment Management after the Global Financial CrisisPaperbackOwned | 1 |
| 2010 | Simulation and Optimization in Finance + WebsiteBookOwned | 1 |
| 2011 | Financial Models with Levy Processes and Volatility ClusteringBookOwned | 4 |
| 2011 | Probability Metrics Approach to Financial Risk MeasuresBookOwned | 4 |
| 2011 | Financial economicsBookOwned | 3 |
| 2011 | Pricing Derivatives by SimulationBookOwned | 3 |
| 2011 | Risk and UncertaintyBookOwned | 3 |
| 2011 | Equity Valuation and Portfolio ManagementBookOwned | 2 |
| 2011 | Fund Trustee Financial HandbookBookOwned | 1 |
| 2012 | Encyclopedia of Financial ModelsBookOwned | 4 |
| 2012 | Encyclopedia of Financial Models, Volume IBookOwned | 3 |
| 2012 | Encyclopedia of Financial Models, Volume IIBookOwned | 3 |
| 2012 | Encyclopedia of Financial Models, Volume IIIBookOwned | 3 |
| 2012 | Project financingBookOwned | 3 |
| 2012 | Bond Markets, Analysis and Strategies (1-Download)BookOwned | 1 |
| 2012 | Bond Markets, Analysis and Strategies (Subscription)BookOwned | 1 |
| 2013 | Financial Advice and Investment DecisionsBookOwned | 6 |
| 2013 | Mathematical Methods for FinanceBookOwned | 5 |
| 2013 | Fixed Income Analysis 2e WLYETX for Montclair State UniversityBookOwned | 1 |
| 2014 | The basics of financial econometricsBookOwned | 5 |
| 2015 | Robust Equity Portfolio ManagementBookOwned | 3 |
| 2015 | Advanced Risk Management and Portfolio OptimizationBookOwned | 2 |
| 2015 | Bond Markets, Analysis, and Strategies (9th Edition)BookOwned | 1 |
| 2015 | Capital Markets - Institutions, Instruments, and Risk Management 5eBookOwned | 1 |
| 2015 | The Methods of Distances in the Theory of Probability and StatisticsPaperbackOwned | 1 |
| 2016 | Entrepreneurial Finance and Accounting for High-Tech CompaniesBookOwned | 3 |
| 2016 | Investing in Mortgage-Backed and Asset-Backed SecuritiesBookOwned | 3 |
| 2016 | Portfolio Construction and AnalyticsBookOwned | 3 |
| 2016 | Fractional Calculus and Fractional Processes with Applications to Financial EconomicsBookOwned | 2 |
| 2018 | Recent Evidence on the Distribution Patterns in Chapter 11 ReorganizationsBookOwned | 1 |
| 2019 | Foundations of Global Financial Markets and Institutions, Fifth EditionBookOwned | 1 |
| 2019 | Handbook of Heavy-Tailed Distributions in Asset Management and Risk ManagementHardcoverOwned | 1 |
| 2020 | Fundamentals of Institutional Asset ManagementBookOwned | 2 |
| 2021 | Asset ManagementBookOwned | 1 |
| 2021 | Bond Markets, Analysis, and Strategies, Tenth EditionBookOwned | 1 |
| 2021 | Handbook of Fixed Income Securities, Ninth EditionBookOwned | 1 |
| 2022 | Fixed Income Mathematics, 5/eBookOwned | 1 |
| 2022 | Introduction to FinanceBookOwned | 1 |
| 2023 | Quantitative Global Bond Portfolio ManagementBookOwned | 1 |
| 2025 | Network Models in FinanceBookOwned | 3 |
| 2025 | Economics of FinTechBookOwned | 1 |
| 2025 | Introduction to Fixed-Income Analysis and Portfolio ManagementBookOwned | 1 |
| 2025 | Simulation, Optimization, and Machine Learning for Finance, Second EditionBookOwned | 1 |



























































































