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Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies
 
 
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Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies [Hardcover]

Jochen Felsenheimer (Author), Philip Gisdakis (Author), Michael Zaiser (Author)

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Book Description

3527501983 978-3527501984 March 13, 2006 1
The introduction of the euro in 1999 marked the starting point of the development of a very liquid and heterogeneous EUR credit market, which exceeds EUR 350bn with respect to outstanding corporate bonds. As a result, credit risk trading and credit portfolio management gained significantly in importance. The book shows how to optimize, manage, and hedge liquid credit portfolios, i.e. applying innovative derivative instruments. Against the background of the highly complex structure of credit derivatives, the book points out how to implement portfolio optimization concepts using credit-relevant parameters, and basic Markowitz or more sophisticated modified approaches (e.g., Conditional Value at Risk, Omega optimization) to fulfill the special needs of an active credit portfolio management on a single-name and on a portfolio basis (taking default correlation within a credit risk model framework into account). This includes appropriate strategies to analyze the impact from credit-relevant newsflow (macro- and micro-fundamental news, rating actions, etc.). As credits resemble equity-linked instruments, we also highlight how to implement debt-equity strategies, which are based on a modified Merton approach.
The book is obligatory for credit portfolio managers of funds and insurance companies, as well as bank-book managers, credit traders in investment banks, cross-asset players in hedge funds, and risk controllers.






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Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies + Active Credit Portfolio Management in Practice (Wiley Finance) + Collateralized Debt Obligations: Structures and Analysis, 2nd Edition (Wiley Finance)
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Editorial Reviews

Review

"It nicely combines the practical aspects with the relevant theoretical framework...appealing to academics in finance." (Financial Markets Portfolio Management Journal, July 2006)

About the Author

Dr. Jochen Felsenheimer works for HVB Corporates & Markets and is currently heading the Credit & Credit Derivatives Strategy team, a department of HVB Global Markets Research. He holds a PhD in Economics from Ludwigs-Maximilians-Universität München.

Dr. Philip Gisdakis is a Quantitative Credit Strategist. He studied Mathematical Finance at the University of Oxford and holds a PhD degree in Theoretical Chemistry from Technische Universität München.

Michael Zaiser is a Credit Strategist at HVB Corporates & Markets. He studied Business Administration and Mathematics at Johann Wolfgang Goethe-Universität Frankfurt am Main.


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