*** Proof of Product ***
Exploring the Essential Features of “Investing in Corporate Bonds and Credit Risk – Frank Hagenstein”
Authors: Frank Hagenstein , Alexander Mertz , Jan Seifert
Part of the book series: Finance and Capital Markets Series (FCMS)
Table of contents (12 chapters)
Front Matter
Pages i-xxi
Introduction
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 1-5
Investment Process
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 6-22
Strategic Asset Allocation
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 23-68
Tactical Asset Allocation
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 69-108
Credit Research
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 109-180
High-Yield Investing
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 181-228
Credit Derivatives
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 229-248
Credit Indices
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 249-256
The Role of Ratings
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 257-268
Portfolio Construction
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 269-287
Total and Absolute Return Strategies with Credits
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 288-306
Risk Management
Frank Hagenstein, Alexander Mertz, Jan Seifert
Pages 307-320
Back Matter
Pages 321-333
About this book
Investing in Corporate Bonds and Credit Risk is a valuable tool for any corporate bond investor. All the most recent developments and strategies in investment in corporate bonds are analyzed included with qualitative and quantitative approaches. A complete and up-to-date investment process is developed through the book, using many examples taken from banking practice. The growing significance of derivative instruments and credit diversification to bond investors is also analyzed in detail.
About the authors
FRANK HAGENSTEIN is Head of Corporate Bonds at Union Investment Privatfonds GmbH in Frankfurt and co-author with Tim Bangemann of Active Fixed Income and Credit Management, Palgrave Macmillan 2002.
ALEXANDER MERTZ is Portfolio Manager at Union Investment Privatfonds.
JAN SEIFERT is Portfolio Manager at Union Investment Privatfonds.
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