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Corporate Bonds Structure Analysis als Buch
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Corporate Bonds Structure Analysis

9:B&W 6 x 9 in or 229 x 152 mm Case Laminate on Creme w/Gloss Lam. Sprache: Englisch.
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Corporate Bonds: Structures & Analysis covers every aspect of corporate bonds, including bond structures, credit analysis, and investment strategies. This book discusses state-of-the-art technology for valuing corporate bonds, as well as innovative n... weiterlesen
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Corporate Bonds Structure Analysis als Buch

Produktdetails

Titel: Corporate Bonds Structure Analysis
Autor/en: Wilson, Fabozzi

ISBN: 1883249074
EAN: 9781883249076
9:B&W 6 x 9 in or 229 x 152 mm Case Laminate on Creme w/Gloss Lam.
Sprache: Englisch.
John Wiley & Sons

1. Februar 1995 - gebunden - 404 Seiten

Beschreibung

Corporate Bonds: Structures & Analysis covers every aspect of corporate bonds, including bond structures, credit analysis, and investment strategies. This book discusses state-of-the-art technology for valuing corporate bonds, as well as innovative new products such as step-up notes and range notes. Complete with contributions from todays top financial experts, Corporate Bonds is the definitive reference for this vital market.

Inhaltsverzeichnis

About the Authors. Table of Contents. Preface. Acknowledgments. List of Advertisers. SECTION I. 1. Overview of U.S. Corporate Bonds. 2. Bond Indentures. 3. Maturity. 4. Interest Payments. 5. Debt Retirement. 6. Convertible Bonds. 7. Speculative--Grade Bonds. 8. Corporate Debt Ratings. SECTION II. 9. Bond Pricing and Yield Measures. 10. Principles of Valuing Corporate Bonds. 11. Valuing Callable Corporate Bonds. 12. Valuing Other Corporate Bond Structures. 13. Managing Corporate Bond Portfolios. Index. Advertisements.

Portrait

Richard S. Wilson is associated with Fitch Investors Service and Ryan Labs. He is a founding and life--time member, former president, and director of the Fixed Income Analysts Society of New York. He holds degrees from the Graduate School of Business of Columbia University and the University of Pennsylvania's Wharton School of Finance and Commerce. Frank J. Fabozzi is a financial consultant, the editor of the Journal of Portfolio Management, and Adjunct Professor of Finance at Yale University's School of Management.
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