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Managing a Corporate Bond Portfolio
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Managing a Corporate Bond Portfolio Hardcover - 2001

by Leland E. Crabbe; Frank J. Fabozzi


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Corporate bond portfolio management is a complicated process of balancing risk and expected returns. In managing this type of portfolio, you must account for a variety of factors that could impact the corporate bond market and, most importantly, the expected return of your portfolio. Managing a Corporate Bond Portfolio presents the essential elements of corporate bond portfolio management and provides you with state-of-the-art analytical tools to help enhance returns and control the risks associated with corporate bonds.

Fixed income security experts Leland Crabbe and Frank Fabozzi begin with an overview of corporate bond features, including the provisions contained in bond indentures, secured bonds and unsecured bonds, and interest payments. They also provide a solid foundation of the various corporate debt structures of corporate bonds.

Moving from introductory basics to the sophisticated analysis of returns and risk of corporate bonds, Managing a Corporate Bond Portfolio offers portfolio managers and investors the most professional advice, insights, strategies, and tools to maximize corporate bond portfolio returns while minimizing risk. An in-depth discussion of corporate bond valuation and price dynamics provides you with:
* A valuation framework, as well as various measures of corporate bond yields and spreads
* The most current measures of interest rate risk
* Useful formulas that reveal the relation between spreads and excess returns
* Strategies that can improve performance by anticipating changes in yield spreads and spread curves
* A thorough understanding of the fundamental factors that drive corporate spreads. . . and much more.

Managing a Corporate Bond Portfolio continues its comprehensive treatment of corporate bond portfolio management by discussing corporate credit risk issues such as the microfundamentals of credit risk and credit analysis; measuring expected excess returns based on credit rating transition probabilities; and valuing subordinated securities. Rounding out the topic of corporate bond portfolio management, Managing a Corporate Bond Portfolio presents an analytical framework for valuing embedded options, and explores redemption analysis through an examination of how option values are affected by credit risk, and the valuation of putable bonds and their use in portfolio strategies.

Corporate bond portfolio management is a dynamic process in which investors continually reevaluate which sectors of the market have the most attractive trade-off between risk and expected return. With Managing a Corporate Bond Portfolio you'll learn to combine the many aspects of this discipline to create a portfolio that will put you in the best possible position to enhance returns in the corporate bond sector.

Details

  • Title Managing a Corporate Bond Portfolio
  • Author Leland E. Crabbe; Frank J. Fabozzi
  • Binding Hardcover
  • Edition 1st Edition
  • Pages 336
  • Volumes 1
  • Language ENG
  • Publisher Wiley, New York
  • Date 2001-12-14
  • Illustrated Yes
  • Features Dust Cover, Illustrated, Index, Table of Contents
  • ISBN 9780471218272 / 0471218278
  • Weight 1.26 lbs (0.57 kg)
  • Dimensions 9.2 x 6.34 x 1.13 in (23.37 x 16.10 x 2.87 cm)
  • Library of Congress subjects Investment analysis, Corporations - United States - Finance
  • Library of Congress Catalog Number 2002275830
  • Dewey Decimal Code 332.63

About the author

LELAND E. CRABBE is a fixed income portfolio manager at Credit Suisse Asset Management in New York and global head of emerging market debt. He received his PhD in economics from the University of California at Los Angeles in 1988. Subsequent to that, he worked for the Federal Reserve Board in Washington, DC, as an economist in the capital market section, focusing on corporate bond and high yield research. From 1994 to 1998, he worked at Merrill Lynch in various capacities: in research as Merrill's Corporate Bond Strategist; in corporate bond syndicate as a developer of structured corporate bonds; and in emerging market bond trading.
FRANK J. FABOZZI, PhD, CFP, CPA, is Editor of the Journal of Portfolio Management and an Adjunct Professor of Finance at Yale University's School of Management. Dr. Fabozzi is on the board of directors of the Guardian Life family of funds and the BlackRock complex of funds. He earned a doctorate in economics from the City University of New York in 1972 and, in 1994, received an honorary doctorate of humane letters from Nova Southeastern University. Dr. Fabozzi is a Fellow of the International Center for Finance at Yale University.
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Managing a Corporate Bond Portfolio
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MANAGING A CORPORATE BOND PORTFOLIO
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MANAGING A CORPORATE BOND PORTFOLIO

by Fabozzi, Frank J.

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New. Praise for Managing a Corporate Bond Portfolio "Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management. If you want to understand the latest thinking in corporate bonds, what drives prices and why, read this book. You will emerge with knowledge that will help you get an edge in the competitive investing arena." -Tim Opler Director, Financial Strategy Group, CSFB "A practitioner's guide ...a creative, comprehensive, and practical book that addresses the myriad of challenges facing managers of corporate bond portfolios. The chapter on liquidity, trading, and trading costs is a must read." -Mary Rooney Head of Credit Strategy, Merrill Lynch "As a Senior Portfolio Manager responsible for managing billions of dollars invested in fixed income product during the mid-1990s, Lee Crabbe was the one Wall Street strategist that I would read every week to help me… Read More
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Managing a Corporate Bond Portfolio
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Managing a Corporate Bond Portfolio

by Fabozzi, Frank J.; Crabbe, Leland E

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Managing a Corporate Bond Portfolio
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Managing a Corporate Bond Portfolio

by Crabbe, Leland E.; Fabozzi, Frank J

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