Description |
1 online resource (x, 224 pages) : illustrations |
Note |
Title from title screen. |
Bibliography |
Includes bibliographical references and index. |
Contents |
pt. 1. Investment strategies -- pt. 2. Risk management strategies -- pt. 3. Pricing, products, and procedures. |
Summary |
"Credit Derivatives are financial contracts that transfer credit risk--the risk that a debtor will not repay a loan--between parties. Credit Derivative Strategies describes for professional investors current ways of participating in this rapidly expanding market, including how to select credit hedge funds, analyze event risk, find relative value opportunities, and choose synthetic collateralized debt obligations (CDOs)"--Provided by publisher |
Subject |
Credit derivatives.
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Risk management.
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Instruments dérivés de crédit. |
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Gestion du risque. |
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risk management. |
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Credit derivatives |
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Risk management |
Added Author |
Douglas, Rohan.
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Other Form: |
Print version: Credit derivative strategies. 1st ed. New York : Bloomberg Press, 2007 (DLC) 2007014284 |
ISBN |
9781119204220 (electronic bk.) |
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1119204224 (electronic bk.) |
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9780470883013 (electronic bk.) |
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0470883014 (electronic bk.) |
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9780470885048 (electronic bk.) |
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0470885041 (electronic bk.) |
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(alk. paper) |
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