株式会社極東書店トップ商品一覧Managing Credit Risk in Corporate Bond Portfolios : A Practitioner's Guide.

商品詳細

Managing Credit Risk in Corporate Bond Portfolios

Managing Credit Risk in Corporate Bond Portfolios : A Practitioner's Guide.

・ISBN 978-0-471-43037-7 cloth US$ 99.95

¥23,417.- (税込) (※)価格はご注文時の参考価格となります。
納品価格につきましては書籍の入荷時点で確定となります。
版元の原価改定、外国為替の変動等により異なる場合がございますので、予めご了承下さい。

お気に入り
著者・編者Ramaswamy, Srichander,
シリーズThe Frank J. Fabozzi Series
出版社(Wiley, US)
出版年月2004
ページ数274 pp.
言語ENG
ニュース番号<505-545>

解説

Expert guidance on managing credit risk in bond portfolios
Managing Credit Risk in Corporate Bond Portfolios shows readers how to measure and manage the risks of a corporate bond portfolio against its benchmark. This comprehensive guide explores a wide range of topics surrounding credit risk and bond portfolios, including the similarities and differences between corporate and government bond portfolios, yield curve risk, default and credit migration risk, Monte Carlo simulation techniques, and portfolio selection methods.
Srichander Ramaswamy, PhD (Basel, Switzerland), is Head of Investment Analysis at the Bank for International Settlements (BIS) in Basel, Switzerland, and Adjunct Professor of Banking and Finance, University of Lausanne.