I really enjoyed a lot of the Fixed Income stuff in the CFA curriculum and would like to break into the market on credit desk in some way shape or form but I know I need to sharpen up on these subjects as I’m coming from more of a global macro position where we forecast interest rates etc. we don’t really manage fixed income porfolios the traditional sense with a focus on duration, VAR, etc. instead trading occassionally to take advantage of interest rate moves that we predict by targeting only one or two maturities and only trade highly liquid securities.
I know there’s really no substitute for working on a desk, but any recommendations on a good book to work through to make myself competitive and fluent in the language for an interview. FWIW I have acess to a bloomberg terminal so I can work on modeling a bit after work with that as well.
Thanks for the help guys.
I know there’s really no substitute for working on a desk, but any recommendations on a good book to work through to make myself competitive and fluent in the language for an interview. FWIW I have acess to a bloomberg terminal so I can work on modeling a bit after work with that as well.
Thanks for the help guys.