Credit Derivative Strategies: New Thinking on Managing Risk and Return; Editor: Rohan Douglas; 2007

Credit Derivative Strategies: New Thinking on Managing Risk and Return Upplaga 1

av Editor: Rohan Douglas
In the past two years, trading in credit derivatives has doubled to $10 billion a day. The credit derivatives market is only a decade old and, with this phenomenal growth, professionals are looking for more sophisticated strategies for managing their investments. This book delivers exactly that with contributions from leading practitioners who hone their craft at some of the industrys most successful companies. This is the first book to focus on strategies for credit derivatives rather than on overview and background.
In the past two years, trading in credit derivatives has doubled to $10 billion a day. The credit derivatives market is only a decade old and, with this phenomenal growth, professionals are looking for more sophisticated strategies for managing their investments. This book delivers exactly that with contributions from leading practitioners who hone their craft at some of the industrys most successful companies. This is the first book to focus on strategies for credit derivatives rather than on overview and background.
Upplaga: 1a upplagan
Utgiven: 2007
ISBN: 9781576601877
Förlag: John Wiley & Sons
Format: Inbunden
Språk: Engelska
Sidor: 223 st
In the past two years, trading in credit derivatives has doubled to $10 billion a day. The credit derivatives market is only a decade old and, with this phenomenal growth, professionals are looking for more sophisticated strategies for managing their investments. This book delivers exactly that with contributions from leading practitioners who hone their craft at some of the industrys most successful companies. This is the first book to focus on strategies for credit derivatives rather than on overview and background.
In the past two years, trading in credit derivatives has doubled to $10 billion a day. The credit derivatives market is only a decade old and, with this phenomenal growth, professionals are looking for more sophisticated strategies for managing their investments. This book delivers exactly that with contributions from leading practitioners who hone their craft at some of the industrys most successful companies. This is the first book to focus on strategies for credit derivatives rather than on overview and background.
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