The Credit Market Handbook

The Credit Market Handbook A Practical Guide to Modern Credit Portfolio Management

Hardback (10 Oct 2016) | German

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Publisher's Synopsis

The subprime mortgage loan crisis in the US has developed into a broad credit and credit derivatives crisis lately. In previous years the credit derivatives market experienced growth rates of over 100% per year, outpacing all other derivative segments. This highlights the tremendous demand for credit derivatives, which is likely to remain high despite the current turmoil, but also shows how vulnerable markets have become with respect to this asset class. Consequently, a comprehensive understanding of the risks and mechanisms of the market is essential. Market participants who neglect this necessity face large downside risks, while those who have adequate and efficient risk management processes in place will be rewarded with an attractive risk return profile.

This book aims at providing a reference guide to the credit and credit derivatives universe. It covers topics ranging from basic valuation principles for plain–vanilla products to insights into the latest development in sophisticated structured credit products. The authors explain in detail, but always with a hands–on practical perspective, all relevant instruments and quantitative valuation techniques. They show how these instruments can be integrated in a portfolio context and how efficient portfolio management is implemented. Moreover, the authors show how to develop and implement trading and investment strategies in the credit market.

Book information

ISBN: 9783527503339
Publisher: Wiley-VCH
Imprint: Wiley-VCH
Pub date:
DEWEY: 332.7
DEWEY edition: 23
Language: German
Number of pages: 277
Weight: -1g
Height: 235mm
Width: 155mm
Spine width: 155mm