Debt Markets And Investments

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Debt Markets and Investments

Author : H. Kent Baker,Greg Filbeck,Andrew C. Spieler
Publisher : Financial Markets and Investme
Page : 833 pages
File Size : 49,9 Mb
Release : 2019-09-05
Category : Business & Economics
ISBN : 9780190877439

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Debt Markets and Investments by H. Kent Baker,Greg Filbeck,Andrew C. Spieler Pdf

Debt Markets and Investments provides an overview of the dynamic world of markets, products, valuation, and analysis of fixed income and related securities. Experts in the field, practitioners and academics, offer both diverse and in-depth insights into basic concepts and their application to increasingly intricate and real-world situations. This volume spans the entire spectrum from theoretical to practical, while attempting to offer a useful balance of detailed and user-friendly coverage. The volume begins with the basics of debt markets and investments, including basic bond terminology and market sectors. Among the topics covered are the relationship between fixed income and other asset classes as well as the differences in fundamental risk. Particular emphasis is given to interest rate risk as well as credit risks as well as those associated with inflation, liquidity, reinvestment, and ESG. Authors then turn to market sectors, including government debt, municipal bonds, the markets for corporate bonds, and developments in securitized debt markets along with derivatives and private debt markets. The third section focuses on models of yield curves, interest rates, and swaps, including opportunities for arbitrage. The next two sections focus on bond and securitized products, from sovereign debt and mutual funds focused on bonds to how securitization has increased liquidity through such innovations as mortgaged-and asset- backed securities, as well as collateralized debt-, bond-, and loan obligations. Authors next discuss various methods of valuation of bonds and securities, including the use of options and derivatives. The volume concludes with discussions of how debt can play a role in financial strategies and portfolio creation. Readers interested in a broad survey will benefit as will those looking for more in-depth presentations of specific areas within this field of study. In summary, the book provides a fresh look at this intriguing and dynamic but often complex subject.

Debt Markets and Analysis

Author : R. Stafford Johnson
Publisher : John Wiley & Sons
Page : 720 pages
File Size : 55,9 Mb
Release : 2013-03-18
Category : Business & Economics
ISBN : 9781118235430

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Debt Markets and Analysis by R. Stafford Johnson Pdf

An accessible guide to the essential elements of debt markets and their analysis Debt Markets and Analysis provides professionals and finance students alike with an exposition on debt that will take them from the basic concepts, strategies, and fundamentals to a more detailed understanding of advanced approaches and models. Strong visual attributes include consistent elements that function as additional learning aids, such as: Key Points, Definitions, Step-by-Step, Do It Yourself, and Bloomberg functionality Offers a solid foundation in understanding the complexities and subtleties involved in the evaluation, selection, and management of debt Provides insights on taking the ideas covered and applying them to real-world investment decisions Engaging and informative, Debt Markets and Analysis provides practical guidance to excelling at this difficult endeavor.

Investing in Junk Bonds

Author : Edward I. Altman,Scott A. Nammacher
Publisher : Beard Books
Page : 278 pages
File Size : 46,6 Mb
Release : 2003
Category : Business & Economics
ISBN : 1587981556

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Investing in Junk Bonds by Edward I. Altman,Scott A. Nammacher Pdf

Details the rise and operation of the high yield debt market as illustrated by the "junk" bond.

The Management of Bond Investments and Trading of Debt

Author : Dimitris N. Chorafas
Publisher : Elsevier
Page : 448 pages
File Size : 43,6 Mb
Release : 2005-06-07
Category : Business & Economics
ISBN : 9780080497280

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The Management of Bond Investments and Trading of Debt by Dimitris N. Chorafas Pdf

Written for managers and professionals in business and industry, and using a minimum of mathematical language, The Management of Bond Investments and the Trading of Debt addresses three key issues: Bondholder’s options, risks and rewards in making investments in debt instruments; The dynamics of inflation, and how they affect both trading in the bond market, and investment decisions; and The democratization of lending, socialization of risk, and effect of the global economy on the bond market. Financial expert Dimitris Chorafas discusses these issues in straightforward language for managers and professionals in commercial banks, securities houses, financial services companies, merchandising firms, manufacturing companies, and consulting firms, placing the mathematical treatment of the issues in the appendices, available for study but not necessary for understanding the business issues addressed in the book. Focuses on new issues of central importance in bond and debt trading today Uses clear, straightforward language for managers and professionals in business and industry, with mathematical treatment provided in appendices Thorough treatment of operational risk new to books on this topic

Debt Markets and Analysis, + Website

Author : R. Stafford Johnson
Publisher : Bloomberg Press
Page : 720 pages
File Size : 54,7 Mb
Release : 2013-03-25
Category : Business & Economics
ISBN : 1118000005

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Debt Markets and Analysis, + Website by R. Stafford Johnson Pdf

An accessible guide to the essential elements of debt markets and their analysis Debt Markets and Analysis provides professionals and finance students alike with an exposition on debt that will take them from the basic concepts, strategies, and fundamentals to a more detailed understanding of advanced approaches and models. Strong visual attributes include consistent elements that function as additional learning aids, such as: Key Points, Definitions, Step-by-Step, Do It Yourself, and Bloomberg functionality Offers a solid foundation in understanding the complexities and subtleties involved in the evaluation, selection, and management of debt Provides insights on taking the ideas covered and applying them to real-world investment decisions Engaging and informative, Debt Markets and Analysis provides practical guidance to excelling at this difficult endeavor.

The Islamic Debt Market for Sukuk Securities

Author : Mohamed Ariff,Munawar Iqbal,Shamsher Mohamad
Publisher : Edward Elgar Publishing
Page : 243 pages
File Size : 43,9 Mb
Release : 2012-01-01
Category : Business & Economics
ISBN : 9780857936219

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The Islamic Debt Market for Sukuk Securities by Mohamed Ariff,Munawar Iqbal,Shamsher Mohamad Pdf

The relatively new sukuk (or Islamic debt securities) markets have grown to more than US $800 billion over the past decade, and continue to grow at a rate of around 20-30 per cent per year. Arguably the first of its kind, this path-breaking book provides a highly unique reference tool relating to key issues surrounding sukuk markets, which are found in 12 major financial centres, including Kuala Lumpur, London and Zurich. The internationally renowned contributors present an in-depth study of sukuk securities, beginning with a comprehensive definition and history. They go on to discuss Islamic financial concepts and practices that govern how sukuk securities are issued, how markets are carefully regulated to protect investors, and how securities are designed to safeguard invested money. The prospects and challenges of developing sukuk Islamic debt markets across the world are also illustrated. This comprehensive guide to sukuk markets will prove a fascinating and useful reference tool for academics, students, researchers and practitioners with an interest in Islamic finance, and, more specifically, in the nascent field of sukuk securities.

Data Analytics for Corporate Debt Markets

Author : Robert S. Kricheff
Publisher : Pearson Education
Page : 305 pages
File Size : 42,9 Mb
Release : 2014-01-23
Category : Business & Economics
ISBN : 9780133553666

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Data Analytics for Corporate Debt Markets by Robert S. Kricheff Pdf

Use state-of-the-art data analytics to optimize your evaluation and selection of corporate debt investments. Data Analytics for Corporate Debt Markets introduces the most valuable data analytics tools, methods, and applications for today's corporate debt market. Robert Kricheff shows how data analytics can improve and accelerate the process of proper investment selection, and guides market participants in focusing their credit work. Kricheff demonstrates how to use analytics to position yourself for the future; to assess how your current portfolio or trading desk is currently positioned relative to the marketplace; and to pinpoint which part of your holdings impacted past performance. He outlines how analytics can be used to compare markets, develop investment themes, and select debt issues that fit (or do not fit) those themes. He also demonstrates how investors seek to analyze short term supply and demand, and covers some special parts of the market that utilize analytics. For all corporate debt portfolio managers, traders, analysts, marketers, investment bankers, and others who work with structured financial products.

Debt Management and Government Securities Markets in the 21st Century

Author : OECD
Publisher : OECD Publishing
Page : 191 pages
File Size : 48,7 Mb
Release : 2002-09-05
Category : Electronic
ISBN : 9264176004

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Debt Management and Government Securities Markets in the 21st Century by OECD Pdf

This book reviews recent trends in the structure of OECD government securities markets and public debt management operations, and highlights the generic structural policy issues in emerging debt markets.

Investing in Emerging Fixed Income Markets

Author : Frank J. Fabozzi, CFA,Efstathia Pilarinu
Publisher : John Wiley & Sons
Page : 392 pages
File Size : 49,6 Mb
Release : 2002-03-22
Category : Business & Economics
ISBN : 0471218367

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Investing in Emerging Fixed Income Markets by Frank J. Fabozzi, CFA,Efstathia Pilarinu Pdf

An investor's guide to capitalizing on opportunities in the fixed income markets of emerging economies The fixed income market in emerging countries represents a new and potentially lucrative area of investment for professionals, but with great risk. Investing in Emerging Fixed Income Markets shows investors how to identify solid investment opportunities, assess the risk potential, and develop an investment approach to enhance long-term returns. Contributors to this book, among the leading experts from around the world, share their insights, advice, and knowledge on a range of topics that will help investors make the right decisions and choices when dealing with emerging fixed income markets. This fully updated and revised edition of the Handbook of Emerging Fixed Income and Currency Markets is the best guide for navigating the complicated world of emerging fixed income markets. Efstathia Pilarinu (Strasbourg, France) is a consultant specializing in the derivatives and emerging market fixed income areas. She has worked for several major Wall Street firms, including Salomon Brothers, Bankers Trust, Societe General. She has a doctorate degree and an MBA in finance from the University of Tennessee and an undergraduate degree in mathematics from the University of Patras, Greece. John Wiley & Sons, Inc. is proud to be the publisher of the esteemed Frank J. Fabozzi Series. Comprising nearly 100 titles--which include numerous bestsellers--The Frank J. Fabozzi Series is a key resource for finance professionals and academics, strategists and students, and investors. The series is overseen by its eponymous editor, whose expert instruction and presentation of new ideas have been at the forefront of financial publishing for over twenty years. His successful career has provided him with the knowledge, insight, and advice that has led to this comprehensive series. Frank J. Fabozzi, PhD, CFA, CPA, is Editor of the Journal of Portfolio Management, which is read by thousands of institutional investors, as well as editor or author of over 100 books on finance for the professional and academic markets. Currently, Dr. Fabozzi is an adjunct Professor of Finance at Yale University's School of Management and on the board of directors of the Guardian Life family of funds and the Black Rock complex of funds.

The High Yield Debt Market

Author : Edward I. Altman
Publisher : Beard Books
Page : 324 pages
File Size : 48,7 Mb
Release : 1998
Category : Business & Economics
ISBN : 1893122018

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The High Yield Debt Market by Edward I. Altman Pdf

The Investor's Guidebook to Fixed Income Investments

Author : Stuart R. Veale
Publisher : Penguin
Page : 256 pages
File Size : 55,8 Mb
Release : 2013-12-03
Category : Business & Economics
ISBN : 9781101633687

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The Investor's Guidebook to Fixed Income Investments by Stuart R. Veale Pdf

A concise, yet comprehensive, guidebook that addresses the practical aspects of investing in fixed income investments The Investor’s Guidebook series presents investment vehicles and strategies from both the issuers’ and the investors’ perspectives. Starting with basic concepts and then building to state-of-the-art pricing models, strategies, and tactics, these succinct handbooks will be useful for everyone from new hires through experienced professionals. Unlike most books, which are read once and sit on the shelf, professionals will refer to these books repeatedly throughout their careers.

Fixed Income Markets

Author : Moorad Choudhry,David Moskovic,Max Wong
Publisher : John Wiley & Sons
Page : 640 pages
File Size : 48,9 Mb
Release : 2014-06-17
Category : Business & Economics
ISBN : 9781118171752

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Fixed Income Markets by Moorad Choudhry,David Moskovic,Max Wong Pdf

A comprehensive, in-depth look at global debt capital markets inthe post-crisis world Fully updated with comprehensive coverage of the post-crisisdebt markets and their impact on key industry issues, FixedIncome Markets: Management, Trading, and Hedging, SecondEdition offers insights into derivative pricing, cross-currencyhedging, and new liquidity legislation. Written by Choudhry,Moskovic, and Wong, Fixed Income Markets is an indispensableread for anyone working in bond markets, interest-rate markets, andcredit derivatives markets looking to better understand today'sdebt markets. This acclaimed book takes a unique look into the leadingpractices in bond markets as well as post-credit-crunch impacts onpricing that are rarely captured in textbooks. The new editionprovides expanded coverage on a wide range of topics withinhedging, derivatives, bonds, rebalancing, and global debt capitalmarkets. New topics include: Dynamic hedging practices and cross-currency hedging Collateralized and uncollateralized derivatives, and theirimpact on valuation Callable bonds, pricing, trading, and regulatory aspectsrelated to liquidity Rebalancing as a method for capturing contingencies and othercomplex imbedded risks As a bonus, the book includes reference information forstatistical concepts and fixed income pricing, as well as a fullglossary and index. Written in Choudhry's usual accessible style,Fixed Income Markets is a comprehensive and in-depth accountof the global debt capital markets in today's post-crisisworld.

Bond Markets, Analysis, and Strategies, tenth edition

Author : Frank J. Fabozzi,Francesco A. Fabozzi
Publisher : MIT Press
Page : 937 pages
File Size : 47,5 Mb
Release : 2021-12-07
Category : Business & Economics
ISBN : 9780262367424

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Bond Markets, Analysis, and Strategies, tenth edition by Frank J. Fabozzi,Francesco A. Fabozzi Pdf

The updated edition of a widely used textbook that covers fundamental features of bonds, analytical techniques, and portfolio strategy. This new edition of a widely used textbook covers types of bonds and their key features, analytical techniques for valuing bonds and quantifying their exposure to changes in interest rates, and portfolio strategies for achieving a client’s objectives. It includes real-world examples and practical applications of principles as provided by third-party commercial vendors. This tenth edition has been substantially updated, with two new chapters covering the theory and history of interest rates and the issues associated with bond trading. Although all chapters have been updated, particularly those covering structured products, the chapters on international bonds and managing a corporate bond portfolio have been completely revised. The book covers the basic analytical framework necessary to understand the pricing of bonds and their investment characteristics; sectors of the debt market, including Treasury securities, corporate bonds, municipal bonds, and structured products (residential and commercial mortgage-backed securities and asset-backed securities); collective investment vehicles; methodologies for valuing bonds and derivatives; corporate bond credit risk; portfolio management, including the fundamental and quantitative approaches; and instruments that can be used to control portfolio risk.

The Development of Local Debt Markets in Asia

Author : Mr.Mangal Goswami,Mr.Sunil Sharma
Publisher : International Monetary Fund
Page : 33 pages
File Size : 50,6 Mb
Release : 2011-06-01
Category : Business & Economics
ISBN : 9781455259373

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The Development of Local Debt Markets in Asia by Mr.Mangal Goswami,Mr.Sunil Sharma Pdf

The paper makes an assessment of the progress made in developing local debt markets in emerging Asia. Market development has been limited by hurdles confronting borrowers and lenders, current and potential liquidity providers, and insufficient support from government policies and regulations. Besides fostering a credit culture to deepen local debt markets, the issue of critical size can be addressed through an integrated regional market for local currency bonds that provides greater scale, efficiency, and access. With rapid economic growth in Asia, a key challenge is to generate financial assets that can provide the underlying collateral for expanding fixed-income markets, and hence domestic and regional investment opportunities.

The Credit Investor's Handbook

Author : Michael Gatto
Publisher : John Wiley & Sons
Page : 422 pages
File Size : 53,6 Mb
Release : 2023-12-27
Category : Business & Economics
ISBN : 9781394196043

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The Credit Investor's Handbook by Michael Gatto Pdf

Prepare for or enhance a career investing in the credit markets with this authoritative guide. The leveraged credit market is currently valued at over $4 trillion and is one of the fastest-growing asset classes, fueling demand for well-trained credit analysts. The Credit Investor's Handbook: Leveraged Loans, High Yield Bonds, and Distressed Debt is the definitive guide for young investment professionals embarking on a career investing in the leveraged credit markets – whether public, private, performing, or distressed. Experienced professionals will also immensely benefit from this guide as they refine their investment skills. Michael Gatto has twenty-five years of investing experience in the debt markets at Silver Point Capital (a $20 billion credit-focused fund) and Goldman Sachs' Special Situations Group. Furthermore, he is an adjunct professor at Columbia Business School and Fordham University's Gabelli School of Business. Michael brings these experiences together in this comprehensive manual, teaching the skills to succeed in the dynamic and complex credit markets. Michael brings highly complex case studies to life using decades of his first-hand war stories and combines them with reflections from leading industry professionals, often infused with humor, to make the book accessible, readable, and fun. Michael's seven-step credit analysis process will prepare you for a career in credit investing at the top buy-side and sell-side firms on Wall Street by teaching you the technical skills needed to invest in the debt markets. Whether you are analyzing a loan origination in the private debt market, a new issue of a broadly syndicated loan (BSL), a high-yield bond (HY), or a secondary trade, the comprehensive knowledge gained from this book will equip you to make well-founded investment recommendations. Additionally, an entire section devoted to distressed debt investing incorporates a practitioner's perspective on the nuances of bankruptcy and restructurings to develop strategies to profit from opportunities in this opaque market. In clear, straightforward terms accessible to the layperson, Michael explains strategies pursued by distressed companies such as J. Crew and Serta that have led to creditor-on-creditor violence, giving you an insider’s perspective on some of the least understood transactions in the distressed arena. You will: Gain In-Depth Knowledge: Understand the complexities of credit markets, from trading dynamics to historical credit cycles, allowing you to identify debt investment opportunities—and avoid pitfalls. Master the Analytical Framework: Learn Michael's seven-step process for analyzing credit investments, including qualitative industry and business analysis, financial statement analysis, forecasting, corporate valuation, relative value analysis, and debt structuring. Learn How to Write an Investment Recommendation: Review real-life credit memos to understand how analysts translate this framework into recommendations that drive investment decisions at the top credit funds. Discover Key Concepts and Terminology: leveraged buyout financings (LBOs), trading levels (price, yields, and spreads), shorting, and credit default swaps. Navigate Distressed Debt: Explore the strategies and nuances of distressed debt investing, including bankruptcy, subordination, creditor-on-creditor violence, and high-profile case studies from the past three decades of Chapter 11 restructurings. This book caters to finance majors pursuing investing careers, credit analysts seeking to enhance their skills, and seasoned professionals aiming to expand their expertise. Professors, researchers, lawyers, and advisors servicing the credit industry will also find immense value in this comprehensive guide.