46 Episoade

  1. 2022 Year-End Roundup

    Publicat: 23.12.2022
  2. Investment Hotspots in 2022 and Looking Ahead to 2023

    Publicat: 15.12.2022
  3. The Basics of Hybrid ARMs

    Publicat: 08.11.2022
  4. Investment Conversations with the Board

    Publicat: 05.10.2022
  5. Upside Down - The Inverted Yield Curve

    Publicat: 27.09.2022
  6. The Return of Liquidity Management

    Publicat: 25.07.2022
  7. Managing Optionality in the Investment Portfolio

    Publicat: 13.07.2022
  8. Navigating the Bloomberg Yield Table

    Publicat: 30.06.2022
  9. 5 Portfolio Management Tips for Trying Times

    Publicat: 21.06.2022
  10. Beware the Muni De Minimis Rule!

    Publicat: 12.06.2022
  11. Understanding Fed Funds Futures

    Publicat: 03.06.2022
  12. Investment Training from Graduate School of Banking at Colorado

    Publicat: 08.04.2022
  13. Ouch! Those Unrealized Losses!

    Publicat: 31.03.2022
  14. What Is Bond Convexity?

    Publicat: 13.12.2021
  15. What Is Bond Duration?

    Publicat: 14.11.2021
  16. Yield Spreads and Yield Curves

    Publicat: 06.11.2021
  17. Understanding Bond Yield

    Publicat: 27.09.2021
  18. Managing Broker-Dealer Relationships

    Publicat: 21.07.2021
  19. A Game of Risks

    Publicat: 02.09.2020
  20. The Wonderful World of CMOs

    Publicat: 15.07.2020

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Are you searching for an objective source to help you understand how to manage fixed income investments for your financial institution?  Each week, join Chris Nelson, a 30-year banking and investment veteran, as he covers fixed income securities and investment portfolio management, and discusses the latest news and developments in the financial markets.

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