About the Authors

Frank J. Fabozzi is Professor of Finance at EDHEC Business School and a member of the EDHEC-Risk Institute. Prior to joining EDHEC in August 2011, he held various professorial positions in finance at Yale University's School of Management from 1994 to 2011 and from 1986 to 1992 was a visiting professor of finance and accounting at MIT's Sloan School of Management. Professor Fabozzi is the editor of the Journal of Portfolio Management, as well as an associate editor of the Journal of Fixed Income, and on the editorial boards of the Journal of Asset Management, Journal of Structured Finance, Quantitative Finance, and Review of Futures Markets. He earned a doctorate in economics from the City University of New York in 1972. In 2002 he was inducted into the Fixed Income Analysts Society's Hall of Fame and is the 2007 recipient of the C. Stewart Sheppard Award given by the CFA Institute. He earned the designation of Chartered Financial Analyst and Certified Public Accountant. He has authored and edited numerous books in finance.

Anand K. Bhattacharya is a Professor of Practice in the Department of Finance, W. P. Carey School of Business, Arizona State University (ASU) and a Fixed Income Strategist with Stifel Nicolaus and Company Inc. He has consulted with various financial institutions on issues of balance sheet restructuring and asset valuation. Prior to joining ASU in 2009, he was a Managing Director responsible for the management of fixed income research and strategy; ...

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