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"Convertible bonds -- Handbooks, manuals, etc"
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The handbook of hybrid securities : convertible bonds, coco bonds, and bail-in
by
Spiegeleer, Jan de
,
Vanhulle, Cynthia
,
Schoutens, Wim
in
BUSINESS & ECONOMICS
,
Convertible bonds
,
Convertible bonds -- Handbooks, manuals, etc
2014,2012
Introducing a revolutionary new quantitative approach to hybrid securities valuation and risk management
To an equity trader they are shares. For the trader at the fixed income desk, they are bonds (after all, they pay coupons, so what's the problem?). They are hybrid securities. Neither equity nor debt, they possess characteristics of both, and carry unique risks that cannot be ignored, but are often woefully misunderstood. The first and only book of its kind, The Handbook of Hybrid Securities dispels the many myths and misconceptions about hybrid securities and arms you with a quantitative, practical approach to dealing with them from a valuation and risk management point of view.
* Describes a unique, quantitative approach to hybrid valuation and risk management that uses new structural and multi-factor models
* Provides strategies for the full range of hybrid asset classes, including convertible bonds, preferreds, trust preferreds, contingent convertibles, bonds labeled \"additional Tier 1,\" and more
* Offers an expert review of current regulatory climate regarding hybrids, globally, and explores likely political developments and their potential impact on the hybrid market
* The most up-to-date, in-depth book on the subject, this is a valuable working resource for traders, analysts and risk managers, and a indispensable reference for regulators
The Handbook of Hybrid Securities
by
Schoutens, Wim
in
Convertible bonds -- Handbooks, manuals, etc
,
Convertible securities -- Handbooks, manuals, etc
2014
\"A masterful presentation of the many risk exposures embedded in the fast growing world of rate, credit and equity hybrid products by leading scholars. The handbook is an essential addition for those venturing into the intricate details of pricing and risk managing the complexities of cross risks related to structured bidirectional, mandatory or voluntary, contingent conversions between credit and equity. A must have volume earning a superlative recommendation.\" -Dilip B. Madan, PhD, Professor of Mathematical Finance, Robert H. Smith School of Business, University of Maryland \"This handbook is a successful bridge between theory and practice in the domain of hybrid financial instruments. This is a comprehensive book on hybrids with an extensive introduction on new concepts such as contingent convertibles and bail-in bonds.\" -Philippe Jabre, Founder, Jabre Capital Partners \"This work is a very valuable resource and is required reading for those portfolio managers who want to learn more on hybrid financial instruments.\" -Theo Vermaelen, Professor of Finance, INSEAD \"Hybrid instruments are complex. Like teenagers, they spend many hours in their bedrooms, suspiciously quiet, you never knowing what they are up to, and then suddenly there's an outburst of sound and fury, the cause of which you never understand. Hybrid instruments and teenagers are both to be treated with love and understanding. This book will help you with the hybrid instruments. I don't think there's a solution to the teenager problem.\" -Paul Wimott, Father.
Publication
The Handbook of Hybrid Securities
Introducing a revolutionary new quantitative approach to hybrid securities valuation and risk management
To an equity trader they are shares. For the trader at the fixed income desk, they are bonds (after all, they pay coupons, so what's the problem?). They are hybrid securities. Neither equity nor debt, they possess characteristics of both, and carry unique risks that cannot be ignored, but are often woefully misunderstood. The first and only book of its kind, The Handbook of Hybrid Securities dispels the many myths and misconceptions about hybrid securities and arms you with a quantitative, practical approach to dealing with them from a valuation and risk management point of view.
* Describes a unique, quantitative approach to hybrid valuation and risk management that uses new structural and multi-factor models
* Provides strategies for the full range of hybrid asset classes, including convertible bonds, preferreds, trust preferreds, contingent convertibles, bonds labeled \"additional Tier 1,\" and more
* Offers an expert review of current regulatory climate regarding hybrids, globally, and explores likely political developments and their potential impact on the hybrid market
* The most up-to-date, in-depth book on the subject, this is a valuable working resource for traders, analysts and risk managers, and a indispensable reference for regulators