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Bond markets are filled with pitfalls that quietly erode returns-even for professionals. The problem? Misunderstanding premium pricing, mismanaging negative convexity, and chasing yield without recognizing the hidden risks.
This book provides the solution: a clear, professional-grade framework for avoiding the most common-and costly-bond mistakes. With technical precision and real-world case studies, it explains how premium prices alter risk profiles, how negative convexity impacts duration and income, and why chasing yield can backfire in unpredictable markets.
Through step-by-step frameworks and scenario analysis, you'll learn how to structure fixed-income allocations that preserve capital, generate reliable income, and perform across rate cycles. Whether you're managing client portfolios, institutional reserves, or personal fixed-income strategies, this guide equips you with the tools to avoid errors that compromise performance.
Don't let subtle missteps undermine your bond portfolio. Build the knowledge and system to master risk, capture yield intelligently, and secure consistent fixed-income results.