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Hybrid Financial Instruments (Risk Management/Debt & Equity Markets S.) - Hardcover

Coyle, Brian

 
9780852974575: Hybrid Financial Instruments (Risk Management/Debt & Equity Markets S.)

Synopsis

-Worked examples illustrating key points
-Explanation of complex or obscure terms
-Full glossary of terms

The titles in this series, all previously published by BPP Training, are now available in entirely updated and reformatted editions. Each offers an international perspective on a particular aspect of risk management.

Topics in this title include convertible bonds and exchangeable bonds, prices and yields, convertible bond markets, preferred stock, and equity warrants and mezzanine finance.

"synopsis" may belong to another edition of this title.

Synopsis

From the "Risk Management" series, this is a concise and practical guide to financial instruments that are made up of two or more other instruments. The term "hybrid" has come to cover a wide range of financial products and this book seeks to explain the more commonly used ones. They are examined from the perspective of both corporates looking to raise finance and private investors. This new range of risk management texts has undergone extensive re-writing to give each book in the series an international perspective. Each explains and analyses core aspects of risk assessment and management so as to be useful to students and practitioners. All of these titles adopt a practical and clear approach to their subject, and all are fully updated versions of a series of books previously produced by training experts at BPP.

About the Author

Brian Coyle is a former director of BPP Training.

"About this title" may belong to another edition of this title.