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Book Description Hardcover. Condition: New. BRAND NEW ** SUPER FAST SHIPPING FROM UK WAREHOUSE ** 30 DAY MONEY BACK GUARANTEE. Seller Inventory # 9780071746687-GDR
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Book Description Hardcover. Condition: new. Hardcover. Public companies acquire most of their outside capital from debt fi nancing and, more specifi cally, leveraged finance--an asset class that falls somewhere between traditional fixed income and stocks. While this type ofdebt fi nancing carries significant risk to both investorsand companies, the potential returns make leveraged finance a cornerstone of the modern financial markets.Leveraged Financial Markets is a gathering of the most astute and informed minds in the business.The powerhouse editorial team of William F. Maxwell and Mark R. Shenkman have handselected contributions from the top practitioners and thinkers working in leveraged finance today.The result is an authoritative guidebook that providesyou with what you need to navigate the highyield market in the integrated global economy. Packed with a wealth of analytical models illustrating the realities of distress probabilities and losses in default, Leveraged Financial Markets gives you all the insight and strategies you need to:Use the Sharpe ratio to measure the return versus risk for high-yield debtDevelop and oversee a portfolio of high-yield bondsValue individual high-yield issuancesIt also updates you on changes in the high-yield bond market and features in-depth coverage of numerous debt vehicles leveraged in the market today, including collateralized debt obligations (CDOs), credit derivative swaps (CDSs), collateralized loan obligations (CLOs), andleveraged loans.Leveraged Financial Markets is your blueprint tobecoming a virtuoso of this resilient and popular asset class. A guidebook that provides you with what you need to navigate the highyield market in the integrated global economy. It gives you the insight and strategies you need to: use the Sharpe ratio to measure the return versus risk for high-yield debt; develop and oversee a portfolio of high-yield bonds; and, value individual high-yield issuances. Shipping may be from multiple locations in the US or from the UK, depending on stock availability. Seller Inventory # 9780071746687
Book Description HRD. Condition: New. New Book. Shipped from UK. Established seller since 2000. Seller Inventory # GB-9780071746687
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Book Description Condition: New. 2010. 1st Edition. Hardcover. A guidebook that provides you with what you need to navigate the highyield market in the integrated global economy. It gives you the insight and strategies you need to: use the Sharpe ratio to measure the return versus risk for high-yield debt; develop and oversee a portfolio of high-yield bonds; and, value individual high-yield issuances. Series: McGraw-Hill Financial Education Series. Num Pages: 416 pages, ill. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 230 x 163 x 34. Weight in Grams: 754. . . . . . Seller Inventory # V9780071746687
Book Description Condition: New. Book is in NEW condition. Seller Inventory # 0071746684-2-1
Book Description Hardcover. Condition: new. Seller Inventory # 9780071746687
Book Description Condition: New. Seller Inventory # 9819700-n