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:
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.
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Mark W. Guthner, CFA, is a 25-year veteran of the financial services industry who has experience as an equity derivatives strategist, portfolio manager, and trader of long- and short-term fixed-income securities for corporate and Taft-Hartley pension plans. He is currently an educational consultant to the CFA Institute.
Equity managers consider companies from a growth perspective, and fi xedincome managers look for downside risk. This allows a company’s equity security to trade at a premium relative to its debt securities, or vice versa. In between these compartmentalized markets is profit opportunity for in-the-know investors.
Quantitative Analytics in Debt Valuation and Management provides the framework and tools you need to take advantage of decisive market signals hidden in the price structure of debt, equity, and volatility markets.
The industry standard for credit analysis falls short in helping investors reach alpha. This groundbreaking methodology shows you how to create a valuation link between a company’s shares and its debt obligations. Adding this layer of analysis to your current investment strategy will enable you to:
In order to thrive in the most lucrative arenas in the financial industry, you need up-to-date coverage; this reliable resource uses the latest Basel II concepts for valuation.
Let the numbers speak for themselves with Quantitative Analytics in Debt Valuation and Management.
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Book Description Hardcover. Condition: new. Hardcover. A breakthrough methodology for profiting in the high-yield and distressed debt marketGlobal 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 books 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 companys debt, equity, and asset values Price and analyze corporate debt in real time by going beyond traditional methods for computing capital requirements and anticipated lossesLook with an insiders eye at risk management challenges facing banks, hedge funds, and other institutions operating with financial leverageAvoid the mistakes of other investors who contribute to the systemic risk in the financial systemAdditionally, you will be well prepared for the real world with the books 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. Shows you how to sharpen your analytical process by considering valuable information hidden in the prices of related assets. This title reveals a progressive framework incorporating debt valuation based on the interrelationships among the equity, bond, and options markets. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Seller Inventory # 9780071790611
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