{"href":"https://api.simplecast.com/oembed?url=https%3A%2F%2Fbond-investment-mentor.simplecast.com%2Fepisodes%2F046-rdh7Py06","width":444,"version":"1.0","type":"rich","title":"The Return of Prepayment Risk Management","thumbnail_width":300,"thumbnail_url":"https://image.simplecastcdn.com/images/5be32b29-bb57-487c-a8be-befc09929517/70ae488e-7229-4452-9694-d1ba8528620c/bim-3000.jpg","thumbnail_height":300,"provider_url":"https://simplecast.com","provider_name":"Simplecast","html":"<iframe src=\"https://player.simplecast.com/8bef7ed8-2d87-4675-918b-192fd3a9cda1\" height=\"200\" width=\"100%\" title=\"The Return of Prepayment Risk Management\" frameborder=\"0\" scrolling=\"no\"></iframe>","height":200,"description":"Chris explains why prepayment risk may be making a comeback and offers a practical approach to analyzing and managing this risk in community financial institution investment portfolios."}