Quantitative Analytics in Debt Valuation & Management
On Sale Now! Save 5% on the Quantitative Analytics in Debt Valuation & Management by Brand: McGraw-Hill at HYIP Offer. Hurry! Limited time offer. Offer valid only while supplies last. A breakthrough methodology for profiting in the high-yield and distressed debt market Global advances in technology give investors and asset managers
A breakthrough methodology for profiting in the high-yield and distressed debt market
Global advances in technology give investors and asset managers more information at their fingertips than ever before. With Quantitative Analytics in Debt Valuation and Management, you can join the elite club of quantitative investors who know how to use that information to beat the market and their competitors.
This powerful guide shows you how to sharpen your analytical process by considering valuable information hidden in the prices of related assets. Quantitative Analytics in Debt Valuation and Management reveals a progressive framework incorporating debt valuation based on the interrelationships among the equity, bond, and options markets. Using this cutting-edge method in conjunction with traditional debt and equity analysis, you will reduce portfolio risk, find assets with the highest returns, and generate dramatically greater profits from your transactions.
This book’s “fat-free” presentation and easy-to-navigate format jump-starts busy professionals on their way to mastering proven techniques to:
- Determine the “equity risk” inherent in corporate debt to establish the causal relationship between a company’s debt, equity, and asset values
- Price and analyze corporate debt in real time by going beyond traditional methods for computing capital requirements and anticipated losses
- Look with an insider’s eye at risk management challenges facing banks, hedge funds, and other institutions operating with financial leverage
- Avoid the mistakes of other investors who contribute to the systemic risk in the financial system
Additionally, you will be well prepared for the real world with the book’s focus on practical application and clear case studies. Step-by-step, you will see how to improve bond pricing and hedge debt with equity, and how selected investment management strategies perform when the model is used to drive decision making.
|Item Weight:||1.35 pounds|
|Item Size:||1.1 x 9 x 9 inches|
|Package Weight:||1.4 pounds|
|Package Size:||5.98 x 1.18 x 1.18 inches|
Have questions about this item, or would like to inquire about a custom or bulk order?
If you have any questions about this product by Brand: McGraw-Hill, contact us by completing and submitting the form below. If you are looking for a specif part number, please include it with your message.
Related Best Sellers
By Brand: Harvard Business School Press
ean: 9780875841991, isbn: 0875841996,
Doing Deals is an in-depth explanation of the unique management style of investment banks. Represented are insights drawn from 17 U.S. investment banks, 21 issuing customers, and 10 European financial institutions....
By Ramazan Gencay
ean: 9780122796708, isbn: 0122796705,
An Introduction to Wavelets and Other Filtering Methods in Finance and Economics presents a unified view of filtering techniques with a special focus on wavelet analysis in finance and economics. It emphasizes the methods and explanations of the theo...
By Oxford University Press
ean: 9780199331963, isbn: 0199331960,
All investments carry with them some degree of risk. In the financial world, individuals, professional money managers, financial institutions, and many others encounter and must deal with risk. Risk management is a process of determining what risks e...
By Brand: McGraw-Hill/Irwin
ean: 9780073377438, isbn: 0073377430,
Retirement Plans (formerly titled Pension Planning through the ninth edition) is a classic, relied upon by generations of faculty and thousands of professionals throughout the world. It reliably provides the reader with the features, costs, investmen...
By CCH Inc.
ean: 9780808041894, isbn: 0808041894,
ABOUT PRICE ON CONTEMPORARY ESTATE PLANNING: This edition is a mine of information and expertise packed with valuable practice tips; this is the most current and comprehensive single-volume estate planning resource available. Providing theoretical gr...
By Brand: Tony Oz Pubns
sku: 405419809, ean: 9780967386201, isbn: 0967386209,
In his book, Stock Trading Wizard, Tony Oz discloses his short-term trading strategies in a simple yet comprehensive manner. The book goes straight to the point covering all the essential elements for short-term trading. It was designed by the author...
By CreateSpace Independent Publishing Platform
ean: 9781984007186, isbn: 1984007181,
In this book of over 200 worked examples for stock traders and investors, you will discover an approach that was used by the iconic traders of the past to build their vast fortunes. Traders such as Jesse Livermore, Richard Wyckoff and Richard Ney all...
By Schumacher Enterprises
ean: 9780970116260, isbn: 0970116268,
GET RICH IN ANY REAL ESTATE MARKET David Schumacher discovered that the way to a lifetime of financial security is to buy smart and never sell, and he built a $20-million fortune using his own savvy advice. Forget about "flipping" properties. Say goo...
By McGraw-Hill Education
ean: 9780071623575, isbn: 0071623574,
First published in 1934, Security Analysis is one of the most influential financial books ever written. Selling more than one million copies through five editions, it has provided generations of investors with the timeless value investing philosophy ...
By Cheng Few Lee
mpn: black & white illustrations, ean: 9789814343565, isbn: 9814343560,
Security Analysis, Portfolio Management, and Financial Derivatives integrates the many topics of modern investment analysis. It provides a balanced presentation of theories, institutions, markets, academic research, and practical applications, and pr...