The Credit Investor’s Handbook: Leveraged Loans, High Yield Bonds, and Distressed Debt (Wiley Finance)
Authored by Michael Gatto, this book serves as an essential resource for investors looking to navigate the complex landscape of leveraged loans and high-yield bonds. The recent trends in distressed debt illustrated through real-world case studies will enhance your understanding of these important financial instruments. With a publication date set for January 4, 2024, this fresh title promises to equip both new and experienced investors with knowledge crucial for making informed decisions in an ever-changing market. It’s a must-read for anyone serious about credit investing.
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Capital Markets, CDFIs, and Organizational Credit Risk
This collaborative work by Charles Tansey, Michael Swack, and Chief Consultant Michael Tansey delves into the relationship between capital markets and Community Development Financial Institutions (CDFIs). The insights offered in this book help stakeholders understand credit risk management while promoting financial inclusion. With over a decade since its release in 2010, this book has remained relevant for professionals engaged in financing for social impact.
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Credit Risk Management (Essential Capital Markets)
Andrew Fight’s pivotal book provides an in-depth exploration of credit risk management, critical for both private and institutional investors. Its systematic approach breaks down complex principles into easily digestible concepts, making it suitable for readers at all levels. Published in 2004, this fundamental text has become a cornerstone for those wishing to develop a robust understanding of credit risk, evaluating factors that potentially impact an organization’s financial well-being.
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The Stock Market, Credit, and Capital Formation
Fritz Machlup and Vera C. Smith’s classic provides an insightful look back at the historical dynamics between the stock market and capital formation. Price at just $2.99, this book is rich with foundational knowledge that remains relevant today. Originally written in 1940, it discusses the theories that underpin modern financial systems. Despite its age, the principles discussed are timeless, making this a valuable read for anyone interested in economic history and finance.
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The Handbook of Credit Risk Management: Originating, Assessing, and Managing Credit Exposures (Wiley Finance)
In this comprehensive guide, Sylvain Bouteille and Diane Coogan-Pushner enrich the understanding of credit risk management. This handbook covers everything from credit origination to exposure management, making it indispensable for finance professionals. The updated insights offered in this text (published December 29, 2021) reflect today’s complexities in credit markets, allowing readers a clearer perspective on risk management strategies. This book is a necessity for anyone in the finance sector.
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Commercial and Investment Banking and the International Credit and Capital Markets
B. Scott-Quinn’s guide walks readers through the nuances of global finance, examining how international markets interact. With practical insights and governance issues spanning multiple sectors, this book equips readers with knowledge that is crucial in navigating the interlinked world of commercial and investment banking. Released in March 2020, it emphasizes the importance of understanding the global finance industry’s governance.
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Marketing Alternative Investments: A Comprehensive Guide to Fundraising and Investor Relations for Private Equity and Hedge Funds
Dassani’s book demystifies the process of fundraising and managing investor relations specifically for private equity and hedge fund investments. This guide, published in September 2022, focuses on the marketing aspects of these alternative investments, providing readers with actionable strategies to enhance their fundraising efforts. It’s an essential addition for financial marketers aiming to improve their outreach and establish solid investor relationships.
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Private Capital Investing: The Handbook of Private Debt and Private Equity (Wiley Finance)
Roberto Ippolito offers a detailed examination of private capital investing through this informative handbook. This book covers diverse topics regarding private debt and equity, equipping readers with tools necessary for navigating this crucial segment of capital markets. Published in February 2020, it’s a great resource for finance professionals seeking to diversify their portfolio through alternative investments.
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Capital Market Finance: An Introduction to Primitive Assets, Derivatives, Portfolio Management and Risk
This text by Patrice Poncet, Roland Portait, and Igor Toder is a impressive scholarly work that covers a wide array of topics related to capital market finance. Ranging from primitive assets to complex derivatives, it provides comprehensive knowledge fundamental for finance students and practitioners alike. Released in November 2022, this book establishes an authoritative foundation for those looking to enhance their understanding of the ever-evolving world of capital markets.
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The Credit Risk of Complex Derivatives (Finance and Capital Markets Series)
Erik Banks provides rigorous coverage of credit risk in relation to complex derivatives. The book addresses crucial areas such as counterparty risk, making it a go-to for experienced finance professionals. Despite being published back in 1997, the principles discussed remain crucial today, ensuring its place in finance literature regarding risk management. For those interested in an authoritative source, this book is an invaluable asset.
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