Author: Roger Mara Kirkpatrick
Publisher:
ISBN:
Category :
Languages : en
Pages : 186
Book Description
Prediction of Corporate Bond Ratings Through the Use of Multiple Discriminant Analysis
Author: Roger Mara Kirkpatrick
Publisher:
ISBN:
Category :
Languages : en
Pages : 186
Book Description
Publisher:
ISBN:
Category :
Languages : en
Pages : 186
Book Description
A Multiple Discriminant Analysis of Canadian Corporate Bond Ratings
Author: Paul J. Halpern
Publisher:
ISBN:
Category : Bonds
Languages : en
Pages : 17
Book Description
Publisher:
ISBN:
Category : Bonds
Languages : en
Pages : 17
Book Description
An Investigation of Changes in Corporate Bond Ratings
Author: Phillip Andrew Langefeld
Publisher:
ISBN:
Category : Bonds
Languages : en
Pages : 398
Book Description
Publisher:
ISBN:
Category : Bonds
Languages : en
Pages : 398
Book Description
Multivariate Analysis of Financial and Market-Based Variables for Bond Rating Prediction
Author: Martina Novotná
Publisher:
ISBN:
Category :
Languages : en
Pages : 17
Book Description
The analysis of factors which have the strongest influence on rating can contribute to the higher information availability of market participants, and it enables to react on changes and new information sooner and independently from rating agencies. The paper presents an estimation of corporate bond rating models based on both financial and market-based indicators. Multivariate discriminant analysis and logistic regression were used to identify variables with a significant impact on corporate bond rating in oil and gas industry. In addition to common financial variables, the following market-based indicators such as earnings per share, enterprise value, market capitalization and beta are considered in this paper. Among all the variables used in this study, the enterprise value is the most significant variable for bond rating prediction. The practical use of models lies in the area of management decision process and managing credit risk.
Publisher:
ISBN:
Category :
Languages : en
Pages : 17
Book Description
The analysis of factors which have the strongest influence on rating can contribute to the higher information availability of market participants, and it enables to react on changes and new information sooner and independently from rating agencies. The paper presents an estimation of corporate bond rating models based on both financial and market-based indicators. Multivariate discriminant analysis and logistic regression were used to identify variables with a significant impact on corporate bond rating in oil and gas industry. In addition to common financial variables, the following market-based indicators such as earnings per share, enterprise value, market capitalization and beta are considered in this paper. Among all the variables used in this study, the enterprise value is the most significant variable for bond rating prediction. The practical use of models lies in the area of management decision process and managing credit risk.
Multiple Discriminant Analysis of Industrial Bond Ratings
Author: Walter Josef Reinhart
Publisher:
ISBN:
Category :
Languages : en
Pages : 184
Book Description
Publisher:
ISBN:
Category :
Languages : en
Pages : 184
Book Description
Prediction of Industrial Corporate Bond Ratings a Multivariate Analysis
Author: Robert Warren Heller
Publisher:
ISBN:
Category :
Languages : en
Pages : 154
Book Description
Publisher:
ISBN:
Category :
Languages : en
Pages : 154
Book Description
Multiple Discriminant Analysis of Public Utility Bond Ratings
Author: Barry Harrison Todd
Publisher:
ISBN:
Category :
Languages : en
Pages : 74
Book Description
Publisher:
ISBN:
Category :
Languages : en
Pages : 74
Book Description
Proceedings of CECNet 2021
Author: A.J. Tallón-Ballesteros
Publisher: IOS Press
ISBN: 1643682415
Category : Computers
Languages : en
Pages : 788
Book Description
It is almost impossible to imagine life today without the electronics, communications and networks we have all come to take for granted. The 6G network is currently under development and some chips able to operate at the Terahertz (THz) scale have already been introduced, so the next decade will probably see the consolidation of 6G-based technology, as well as many compliant devices. This book presents the proceedings of the 11th International Conference on Electronics, Communications and Networks (CECNet 2021), initially planned to be held from 18-21 November 2021 in Beijing, China, but ultimately held as an online event due to ongoing COVID-19 restrictions. The CECNet series is now an established annual event attracting participants in the interrelated fields of electronics, computers, communications and wireless communications engineering and technology from around the world. Careful review by program committee members, who took into consideration the breadth and depth of those research topics that fall within the scope of CECNet, resulted in the selection of the 88 papers presented here from the 325 submissions received. This represents an acceptance rate of around 27%. Providing an overview of current research and developments in these rapidly evolving fields, the book will be of interest to all those working with digital communications networks.
Publisher: IOS Press
ISBN: 1643682415
Category : Computers
Languages : en
Pages : 788
Book Description
It is almost impossible to imagine life today without the electronics, communications and networks we have all come to take for granted. The 6G network is currently under development and some chips able to operate at the Terahertz (THz) scale have already been introduced, so the next decade will probably see the consolidation of 6G-based technology, as well as many compliant devices. This book presents the proceedings of the 11th International Conference on Electronics, Communications and Networks (CECNet 2021), initially planned to be held from 18-21 November 2021 in Beijing, China, but ultimately held as an online event due to ongoing COVID-19 restrictions. The CECNet series is now an established annual event attracting participants in the interrelated fields of electronics, computers, communications and wireless communications engineering and technology from around the world. Careful review by program committee members, who took into consideration the breadth and depth of those research topics that fall within the scope of CECNet, resulted in the selection of the 88 papers presented here from the 325 submissions received. This represents an acceptance rate of around 27%. Providing an overview of current research and developments in these rapidly evolving fields, the book will be of interest to all those working with digital communications networks.
SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT
Author: SAMUEL THOMAS
Publisher: PHI Learning Pvt. Ltd.
ISBN: 8120348303
Category : Business & Economics
Languages : en
Pages : 257
Book Description
This book on Security Analysis and Portfolio Management is a comprehensive source of information and analysis for students and practitioners. The distinguishing feature of the book is the detailed coverage of the regulatory environment, which consists of the current and updated rules and regulations, tax-environment and the practice of investment in the securities market in India. The book has been written keeping in mind the potential investor and an average student. It addresses all their doubts and concerns and makes them informed about the money market. This well organised, lucidly written text covers various aspects of the portfolio management, ranging from analysis to revision and then performance evaluation of the portfolio. Also discusses in detail the securities market, derivatives and risk evaluation that helps in understanding the trading system better and making quality investment decisions. Besides explaining the theoretical concepts of portfolio management, the book provides a detailed analysis of the latest development in the securities trading. It is meant to be a ‘single window book’ covering the SAPM syllabus of almost all the Indian Universities and institutes conducting MBA/PGDM or MCom programmes. The book will be equally useful for the students of ICAI, ICWAI as well as for investment courses conducted by NSE. Key Features • Easy to understand by the readers even if they have not been exposed to higher mathematics.• Vast coverage of the SAPM topics.• Several worked-out problems in relevant chapters to aid and assist students and teacher alike.• Detailed discussion on Indian stock and share market in context to the country’s current scenario.
Publisher: PHI Learning Pvt. Ltd.
ISBN: 8120348303
Category : Business & Economics
Languages : en
Pages : 257
Book Description
This book on Security Analysis and Portfolio Management is a comprehensive source of information and analysis for students and practitioners. The distinguishing feature of the book is the detailed coverage of the regulatory environment, which consists of the current and updated rules and regulations, tax-environment and the practice of investment in the securities market in India. The book has been written keeping in mind the potential investor and an average student. It addresses all their doubts and concerns and makes them informed about the money market. This well organised, lucidly written text covers various aspects of the portfolio management, ranging from analysis to revision and then performance evaluation of the portfolio. Also discusses in detail the securities market, derivatives and risk evaluation that helps in understanding the trading system better and making quality investment decisions. Besides explaining the theoretical concepts of portfolio management, the book provides a detailed analysis of the latest development in the securities trading. It is meant to be a ‘single window book’ covering the SAPM syllabus of almost all the Indian Universities and institutes conducting MBA/PGDM or MCom programmes. The book will be equally useful for the students of ICAI, ICWAI as well as for investment courses conducted by NSE. Key Features • Easy to understand by the readers even if they have not been exposed to higher mathematics.• Vast coverage of the SAPM topics.• Several worked-out problems in relevant chapters to aid and assist students and teacher alike.• Detailed discussion on Indian stock and share market in context to the country’s current scenario.
Industrial Bonds and the Rating Process
Author: Ahmed Riahi-Belkaoui
Publisher: Praeger
ISBN:
Category : Business & Economics
Languages : en
Pages : 238
Book Description
Publisher: Praeger
ISBN:
Category : Business & Economics
Languages : en
Pages : 238
Book Description