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Book Cover
E-book
Author Hagenstein, Frank

Title Investing in corporate bonds and credit risk / Frank Hagenstein, Alexander Mertz, and Jan Seifert
Published Houndmills, Basingstoke, Hampshire ; New York : Palgrave Macmillan, 2004

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Description 1 online resource (xxi, 333 pages) : illustrations
Series Finance and capital markets
Finance and capital markets.
Contents Introduction -- Investment Process -- Strategic Asset Allocation -- Tactical Asset Allocation -- Credit Research -- High Yield Investing -- Credit Derivatives -- Credit Indices -- The Role of Ratings -- Portfolio Construction -- Total and Absolute Return Strategies with Credits -- Risk Management
Summary Using examples taken from banking practice, developments and strategies in investment in corporate bonds are analysed in this text. The growing significance of derivative instruments and credit diversification to bond investors is also analysed in detail
Bibliography Includes bibliographical references (pages 321-328) and index
Notes Print version record
Subject Corporate bonds.
Investments.
Credit -- Management.
Risk management.
portfolios (financial records)
risk management.
Investment & securities.
BUSINESS & ECONOMICS -- Investments & Securities -- Bonds.
Finance and Accounting.
Corporate bonds
Credit -- Management
Investments
Risk management
Investeringen.
Obligaties.
Risk management.
Form Electronic book
Author Mertz, Alexander, 1973-
Seifert, Jan, 1971-
LC no. 2004048937
ISBN 9780230523296
0230523293