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    The Handbook of Structured Finance

    The Handbook of Structured Finance by de Servigny, Arnaud; Jobst, Norbert;

    Series: PROFESSIONAL FINANCE & INVESTM;

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      • Publisher's listprice GBP 141.99
      • The price is estimated because at the time of ordering we do not know what conversion rates will apply to HUF / product currency when the book arrives. In case HUF is weaker, the price increases slightly, in case HUF is stronger, the price goes lower slightly.

        64 108 Ft (61 055 Ft + 5% VAT)
      • Discount 10% (cc. 6 411 Ft off)
      • Discounted price 57 697 Ft (54 950 Ft + 5% VAT)

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    Product details:

    • Publisher McGraw Hill
    • Date of Publication 16 March 2007

    • ISBN 9780071468640
    • Binding Hardback
    • No. of pages500 pages
    • Size 231x165x46 mm
    • Weight 1183 g
    • Language English
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    Long description:

    Stay On Top of Every Major Issue in the Structured Finance Marketand Learn Powerful New Models for Identifying, Measuring, Pricing, and Monitoring Your Deals

    The Handbook of Structured Finance is a complete guide to themajor issues facing investors in the structured finance market.Comprehensive and accessible, it provides the latest techniquesfor measuring and managing risk, finding optimum pricing, andtaking advantage of leverage and market incompleteness, as wellas models for debt and equity modeling.



    Stay On Top of Every Major Issue in the Structured Finance Marketand Learn Powerful New Models for Identifying, Measuring, Pricing, and Monitoring Your Deals

    The Handbook of Structured Finance is a complete guide to themajor issues facing investors in the structured finance market.Comprehensive and accessible, it provides the latest techniquesfor measuring and managing risk, finding optimum pricing, andtaking advantage of leverage and market incompleteness, as wellas models for debt and equity modeling.

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    Table of Contents:

    1: Overview of Markets and Trends

    2: Measuring Risk on a Univariate Basis

    3: Pricing CDS Spreads and Assessing Risk

    4: Measuring Dependence Under the Empirical Measure

    5: Measuring Dependence Under the Risk Neutral Measure

    6: Key Strategies in Structured Finance

    7: A Practical Guide to CDO/Structured Product Risk Management

    8: Standard & Poor's Techniques in Structured Finance: Default Risk Portfolio Models

    9: Standard & Poor's Techniques in Structured Finance: Cash-Flow Modeling

    10: Structured Finance Products and Regulation

    11: The New Debt/Equity Modeling Frontier

    12: New Products in Structured Finance/Credit

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