The unique characteristics of mortgage-backed securities (MBS) present significant challenges for investment managers with multi-asset portfolios. To drive the business forward, they must find ways of eliminating inaccurate valuation and risk, and the drag on profit and loss (P&L) that it creates.
This eBook will review best practices for valuation and risk analytics in multi-asset portfolios containing MBS. Learn how to maintain your competitive advantage in this complex market.
MBS Best Practices