Wednesday, December 20, 2017

Logistics of how a fund manager would buy and sell bonds.

Hi guys,

I’d just like to clarify some logistical queries. Does the process of buying/selling shares/bonds look like this;

1) Fund Manager wants to buy 1000 of share A and sell 1000 of share B.

2) This is done through a broker, who charges a fee for this service.

If so, I have a question. What exactly does the broker do? Please give me exact details on the software/people he has to utilise.

Thanks!



Submitted December 20, 2017 at 01:30PM by Armchaireconomist95 http://ift.tt/2kTz7OW

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