Bond Credit Analysis

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BOOK EXCERPT:

Credit analysis is an important factor in judging investment value. Fundamentally sound credit analysis can offer more insight into the value of an investment and lead to greater profits. This study presents a professional framework for understanding and managing a successful corporate or municipal bond analysis, while providing informative case studies from well-known private and government organizations.

Product Details :

Genre : Business & Economics
Author : Frank J. Fabozzi
Publisher : John Wiley & Sons
Release : 2001-04-15
File : 580 Pages
ISBN-13 : 1883249910


Bond And Money Markets Strategy Trading Analysis

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Bond and Money Markets: Strategy, Trading, Analysis explains and analyses all aspects of the bond and money markets and is both an introduction for newcomers and an advanced text for experienced market practitioners and graduate students. Those with experience of the industry at all levels will find the book invaluable as a standard reference work.The book features coverage of: - Government and Corporate bonds, Eurobonds, callable bonds, convertibles - Asset-backed bonds including mortgages and CDOs - Derivative instruments including bond futures, swaps, options, structured products, and option valuation models - Interest-rate risk, duration analysis, convexity, and the convexity bias - The money markets, repo markets, basis trading, and asset / liability management - Term structure models, estimating and interpreting the yield curve - Portfolio management, including total return framework, portfolio strategies, and constructing bond indices and valuable insight into: - Trading and hedging strategy - Charting and technical analysis - The latest market developments, such as value-at-risk, and credit derivatives - Emerging markets and the benefits of international investment The Bond and Money Markets: Strategy, Trading, Analysis is aimed at a wide readership including bond salespersons, traders, corporate financiers and graduate trainees, as well as risk managers, operations professionals and business analysts. Other market participants including fund managers, corporate treasurers, management consultants, regulators and financial journalists will also find the content useful. - This book is virtually a stand alone reference book on interest rate swaps, the money markets, financial market mathematics, interest-rate futures and technical analysis - Includes some introductory coverage of very specialised topics (for which one requires specialised texts) such as VaR, Asset & liability management, credit derivatives - Combines accessible style with advanced level topics, plus review of latest research

Product Details :

Genre : Business & Economics
Author : Moorad Choudhry
Publisher : Elsevier
Release : 2001-05-03
File : 1152 Pages
ISBN-13 : 9780080476186


Bond Markets Analysis And Strategies Tenth Edition

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BOOK EXCERPT:

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.

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Genre : Business & Economics
Author : Frank J. Fabozzi
Publisher : MIT Press
Release : 2021-12-07
File : 937 Pages
ISBN-13 : 9780262367424


Bond Portfolio Management

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BOOK EXCERPT:

In Bond Portfolio Management, Frank Fabozzi, the leading expert in fixed income securities, explains the latest strategies for maximizing bond portfolio returns. Through in-depth discussions on different types of bonds, valuation principles, and a wide range of strategies, Bond Portfolio Management will prepare you for virtually any bond related event-whether your working on a pension fund or at an insurance company. Key topics include investment objectives of institutional investors, general principles of bond valuation, measuring interest rate risk, and evaluating performance. Bond Portfolio Management is an excellent resource for anyone looking to master one of the world's largest markets, and is a perfect companion to Fabozzi's successful guide-The Handbook of Fixed-Income Securities.

Product Details :

Genre : Business & Economics
Author : Frank J. Fabozzi
Publisher : John Wiley & Sons
Release : 2001-11-09
File : 738 Pages
ISBN-13 : 1883249368


Certified Credit Research Analyst Ccra Brochure

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BOOK EXCERPT:

The Certified Credit Research Analyst (CCRATM) is a comprehensive global education program designed to give an expert level understanding of credit markets to fresh graduates and experienced professionals. It integrates the fundamentals of financial analysis, credit analysis, rating methodologies, credit strategy and structuring. It offers the tools a candidate needs to occupy key positions in the world of finance, private banking, credit ratings and fixed income domain.

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Genre : Business & Economics
Author : Aditya Gade
Publisher : AIWMI
Release : 2015-02-16
File : 4 Pages
ISBN-13 :


Analysis Of Financial Statements

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Revised and up to date, the Second Edition includes valuable information that addresses questions such as: * What is transparency and why do we care? * How can financial statements inform investors? * How can financial statements mislead investors? * How has the Sarbanes-Oxley Act changed companies' financial disclosures? * What should you look for in financial disclosures when judging a company's financial health? * How do financial statements relate to the value of a company's stock? * Why is cash flow so important to a company's financial health? Throughout Analysis of Financial Statements, Second Edition, the authors demonstrate the nuts and bolts of financial analysis by applying the techniques to actual companies. The authors set the stage for financial analysis in Part One with their discussions of financial statements and the quality of financial statements. In Part Two, they walk you through how to judge a company's financial health using financial disclosures in financial ratio analysis, earnings analysis, and cash flow analysis. In Part Three, the authors take analysis a step further by discussing how investors and creditors can use financial statements to more effectively assess a company's performance and risk. Peterson and Fabozzi wrap up this Second Edition with a set of lessons for investors and analysts: Lesson 1: Understand what you are looking at Lesson 2: Read the fine print Lesson 3: If it's too good to be true, it may be Lesson 4: Follow the money Lesson 5: Understand the risks

Product Details :

Genre : Business & Economics
Author : Pamela P. Peterson
Publisher : John Wiley & Sons
Release : 2012-06-19
File : 218 Pages
ISBN-13 : 9780471914471


International Financial Statement Analysis

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Better analysis for more accurate international financial valuation International Financial Statement Analysis provides the most up-to-date detail for the successful assessment of company performance and financial position regardless of country of origin. The seasoned experts at the CFA Institute offer readers a rich, clear reference, covering all aspects from financial reporting mechanics and standards to understanding income and balance sheets. Comprehensive guidance toward effective analysis techniques helps readers make real-world use of the knowledge presented, with this new third edition containing the most current standards and methods for the post-crisis world. Coverage includes the complete statement analysis process, plus information on income tax accounting, employee compensation, and the impact of foreign exchange rates on the statements of multinational corporations. Financial statement analysis gives investment professionals important insights into the true financial condition of a company. With it, realistic valuations can be made for investment, lending, or merger and acquisition purposes. The process is becoming increasingly complex, but this book helps readers deal with the practical challenges that arise at the international level. Understand the accounting mechanics behind financial reporting Discover the differences between statements from around the world Learn how each financial statement element affects securities valuation Master analysis for clues into operations and risk characteristics Amid an uncertain global economic climate, in today's volatile international markets, the ability to effectively evaluate financial statements is a critical skill. Standards and conditions are continuously evolving, and investment professionals need a strong, up-to-date resource for the latest rules and best practices. International Financial Statement Analysis provides this and more, with clarity and expert advice.

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Genre : Business & Economics
Author : Thomas R. Robinson
Publisher : John Wiley & Sons
Release : 2015-01-30
File : 1064 Pages
ISBN-13 : 9781119029748


Third International Conference On Credit Analysis And Risk Management

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BOOK EXCERPT:

Held at Oakland University, School of Business Administration, Department of Accounting and Finance. This book provides a summary of state-of-the-art methods and research in the analysis of credit. As such, it offers very useful insights into this vital area of finance, which has too often been under-researched and little-taught in academia. Including an overview of processes that are utilized for estimating the probability of default and the loss given default for a wide array of debts, the book will also be useful in evaluating individual loans and bonds, as well as managing entire portfolios of such assets. Each chapter is written by authors who presented and discussed their contemporary research and knowledge at the Third International Conference on Credit Analysis and Risk Management, held on August 21–22, 2014 at the Department of Accounting and Finance, School of Business administration, Oakland University. This collection of writings by these experts in the field is uniquely designed to enhance the understanding of credit analysis in a fashion that permits a broad perspective on the science and art of credit analysis.

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Genre : Business & Economics
Author : Joseph Callaghan
Publisher : Cambridge Scholars Publishing
Release : 2015-09-04
File : 315 Pages
ISBN-13 : 9781443882156



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本书向您介绍了投资分析与组合管理。

Product Details :

Genre : Business enterprises
Author : Frank K. Reilly
Publisher : 中信出版社
Release : 2002
File : 1284 Pages
ISBN-13 : 7800735044


Analysis Of Financial Statements

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BOOK EXCERPT:

The fully update Third Edition of the most trusted book on financial statement analysis Recent financial events have taught us to take a more critical look at the financial disclosures provides by companies. In the Third Edition of Analysis of Financial Statements, Pamela Peterson-Drake and Frank Fabozzi once again team up to provide a practical guide to understanding and interpreting financial statements. Written to reflect current market conditions, this reliable resource will help analysts and investors use these disclosures to assess a company's financial health and risks. Throughout Analysis of Financial Statements, Third Edition, the authors demonstrate the nuts and bolts of financial analysis by applying the techniques to actual companies. Along the way, they tackle the changing complexities in the area of financial statement analysis and provide an up-to-date perspective of new acts of legislation and events that have shaped the field. Addresses changes to U.S. and international accounting standards, as well as innovations in the areas of credit risk models and factor models Includes examples, guidance, and an incorporation of information pertaining to recent events in the accounting/analysis community Covers issues of transparency, cash flow, income reporting, and much more Whether evaluating a company's financial information or figuring valuation for M&A's, analyzing financial statements is essential for both professional investors and corporate finance executives. The Third Edition of Analysis of Financial Statements contains valuable insights that can help you excel at this endeavor.

Product Details :

Genre : Business & Economics
Author : Pamela Peterson Drake
Publisher : John Wiley & Sons
Release : 2012-11-06
File : 357 Pages
ISBN-13 : 9781118299982