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Bond Credit Analysis

Credit analysis is an important factor in judging investment value. Fundamentally sound credit analysis can offer more insight into the;

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Fundamentals Corporate Credit Analysis

An authoritative, in-depth guide to all aspects of credit analysis from the experts at Standard & Poor'sCredit analysis--gauging an;

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Managing Credit Risk in Corporate Bond Portfolios

Expert guidance on managing credit risk in bond portfolios Managing Credit Risk in Corporate Bond Portfolios shows readers how to measure;

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Bond Markets, Analysis, And Strategies

For students enrolled in Fixed Income Securities Courses or Bond Markets Courses Learn how to assess and invest in bonds with this best;

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Corporate Bonds and Structured Financial Products

/>*Convertible bonds*Eurobonds*Warrants*Commercial paper*Corporate bonds credit analysis*Securitisation*Asset-backed;

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Bond and Money Markets: Strategy, Trading, Analysis

Bond and Money Markets: Strategy, Trading, Analysis explains and analyses all aspects of the bond and money markets and is both an;

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Corporate Bonds

Corporate Bonds: Structures & Analysis covers every aspect of corporate bonds, including bond structures, credit analysis, and investment;

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A Pragmatist's Guide to Leveraged Finance

credit and bond analysis skills specific to these instruments. This fully revised and updated edition of A Pragmatist's Guide to Leveraged;

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Determinants of Credit Spreads

Credit spreads express how markets evaluate the riskiness of corporate bonds compared to risk-free investments. Since credit spreads have;

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Advanced Bond Portfolio Management

techniques used in the analysis of bonds and bond portfolio management.Topics covered include: General background information on fixed-income markets;

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Divergence of Risk Measures across Different Market Conditions

investigate the relationship between the bond spread and the corresponding credit rating in light of different market conditions. Three important;

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Bond Markets

For students enrolled in Fixed Income Securities Courses or Bond Markets Courses Learn how to assess and invest in bonds with this best;

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Fixed Income Analytics

This book analyses and discusses bonds and bond portfolios. Different yields and duration measures are investigated for negative and;

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Fixed Income Analytics

This book analyses and discusses bonds and bond portfolios. Different yields and duration measures are investigated for negative and;

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The Practice of Lending: A Guide to Credit Analysis and Credit Risk

Credit risk analysis looks at many risks and this book covers all the critical areas that credit professionals need to know, including;

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Rating Based Modeling of Credit Risk

capital requirements for loan and bond portfolios under Basel IIOne aspect of these ratings systems is credit migrations, addressed in a;

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Bond and Money Markets

The Bond and Money Markets is an invaluable reference to all aspects of fixed income markets and instruments. It is highly regarded;

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Fundamentals Of Institutional Asset Management

analysis and valuation, bond analytics, equity beta strategies (including smart beta), equity alpha strategies (including quantitative/systematic;

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Fundamentals Of Institutional Asset Management

analysis and valuation, bond analytics, equity beta strategies (including smart beta), equity alpha strategies (including quantitative/systematic;

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Fixed Income Analytics

, notes, bonds, and STRIPS that have no credit risk. Examined in part I are basic concepts of bond yield and bond duration; in part II, yield;

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Credit Risk Management

underlying credit risk evaluation, and to use those underlying principles to undertake an analysis of non financial and financial risks when;

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Advanced Credit Risk Analysis & Manageme

way to utilize credit and get results is to understand credit risk. Advanced Credit Risk Analysis and Management helps the reader to;

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Corporate Credit Analysis

for credit worthiness-- implementing credit analysis systems-- outsourcing to enhance credit analysis techniques-- case;

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The Practice of Lending

(AIRB) approach of Basel II. Credit risk analysis looks at many risks and this book covers all the critical areas that credit professionals need;

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Dumped on, Bond Market Spits Crises!

can be hard to resist the lure of credit that the bond market enables. Under this climate, all it takes is a good shock and a dose of fear for;

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Managing a Corporate Bond Portfolio

facing managers of corporate bond portfolios. The chapter on liquidity, trading, and trading costs is a must read. -Mary Rooney Head of Credit;

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Treasury Finance & Development Banking

institutions) * Emerging markets and liquidity (liquidity, credit, capital control, development) * Bond pricing (credit, illiquid bonds, recovery;

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