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Investing in Corporate Bonds and Credit Risk (Hardcover, 2004 ed.): F Hagenstein, A Mertz, J Seifert Investing in Corporate Bonds and Credit Risk (Hardcover, 2004 ed.)
F Hagenstein, A Mertz, J Seifert
R5,808 Discovery Miles 58 080 Ships in 10 - 15 working days

Investing in Corporate Bonds and Credit Risk is a valuable tool for any corporate bond investor. All the most recent developments and strategies in investment in corporate bonds are analyzed included with qualitative and quantitative approaches. A complete and up-to-date investment process is developed through the book, using many examples taken from banking practice. The growing significance of derivative instruments and credit diversification to bond investors is also analyzed in detail. Investment professionals; Corporate finance staff; Portfolio Managers; Senior Managers; Risk Managers; Consultants; Trading and Sales Staff; Quantitative Analysts; Credit Analysts; Regulators MBA courses

Active Fixed Income and Credit Management (Hardcover): F Hagenstein, Tim Bangemann Active Fixed Income and Credit Management (Hardcover)
F Hagenstein, Tim Bangemann
R11,616 Discovery Miles 116 160 Ships in 10 - 15 working days

The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail using a top-down and bottom-up approach.

Active Fixed Income and Credit Management (Paperback, 1st ed. 2002): F Hagenstein, Tim Bangemann Active Fixed Income and Credit Management (Paperback, 1st ed. 2002)
F Hagenstein, Tim Bangemann
R11,586 Discovery Miles 115 860 Ships in 10 - 15 working days

The authors provide the reader with an extensive tool set for active and successful management of fixed income portfolios as well as for credits. The focus of discussion is on quantitative and, for credits, qualitative methods of portfolio management. These strategies may be employed for portfolio diversification and in order to outperform the benchmark. Methods applicable for different risk factors - duration, yield curve, basis, volatility and credit management - are illustrated in detail using a top-down and bottom-up approach. Several examples are presented to show the practical relevance of the theoretical models and approach.

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