The Volume of Corporate Bond Financing Since 1900

The Volume of Corporate Bond Financing Since 1900 PDF Author: Walter Braddock Hickman
Publisher:
ISBN:
Category : Business & Economics
Languages : en
Pages : 474

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Book Description
Bibliographical footnotes. "Sources of data and derivation of basic estimates": pages [389]-397.

The Volume of Corporate Bond Financing Since 1900

The Volume of Corporate Bond Financing Since 1900 PDF Author: Walter Braddock Hickman
Publisher:
ISBN:
Category : Business & Economics
Languages : en
Pages : 474

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Book Description
Bibliographical footnotes. "Sources of data and derivation of basic estimates": pages [389]-397.

The Future of China's Bond Market

The Future of China's Bond Market PDF Author: Mr. Alfred Schipke
Publisher: International Monetary Fund
ISBN: 151358278X
Category : Business & Economics
Languages : en
Pages : 52

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Book Description
China’s bond market is destined to play an increasingly important role, both at home and abroad. And the inclusion of the country’s bonds in global indexes will be a milestone for its financial market integration, bringing big opportunities as well as challenges for policymakers and investors alike. This calls for a good understanding of China’s bond market structure, its unique characteristics, and areas where reforms are needed. This volume comprehensively analyzes the different segments of China’s bond market, from sovereign, policy bank, and credit bonds, to the rapidly growing local government bond market. It also covers bond futures, green bonds, and asset-backed securities, as well as China’s offshore market, which has played a major role in onshore market development.

The Corporate Bond Project

The Corporate Bond Project PDF Author: Corporate Bond Project
Publisher:
ISBN:
Category : Bonds
Languages : en
Pages : 162

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Book Description


Local Currency Bond Markets - A Diagnostic Framework

Local Currency Bond Markets - A Diagnostic Framework PDF Author: World Bank
Publisher: International Monetary Fund
ISBN: 1498341527
Category : Business & Economics
Languages : en
Pages : 40

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Book Description
In November 2011, the G-20 endorsed an action plan to support the development of local currency bond markets (LCBM). International institutions—the IMF, the World Bank, the EBRD, and the OECD—were asked to draw on their experience to develop a diagnostic framework (DF) to identify general preconditions, key components, and constraints for successful LCBM development. The objective is to provide a tool for analyzing the state of development and efficiency of local currency bond markets. The application of the DF is expected to be flexible, bearing in mind that the potential for LCBM development depends on economic size, financing needs, and stage of economic development.

Corporate and Project Finance Modeling

Corporate and Project Finance Modeling PDF Author: Edward Bodmer
Publisher: John Wiley & Sons
ISBN: 1118854365
Category : Business & Economics
Languages : en
Pages : 628

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Book Description
A clear and comprehensive guide to financial modeling and valuation with extensive case studies and practice exercises Corporate and Project Finance Modeling takes a clear, coherent approach to a complex and technical topic. Written by a globally-recognized financial and economic consultant, this book provides a thorough explanation of financial modeling and analysis while describing the practical application of newly-developed techniques. Theoretical discussion, case studies and step-by-step guides allow readers to master many difficult modeling problems and also explain how to build highly structured models from the ground up. The companion website includes downloadable examples, templates, and hundreds of exercises that allow readers to immediately apply the complex ideas discussed. Financial valuation is an in-depth process, involving both objective and subjective parameters. Precise modeling is critical, and thorough, accurate analysis is what bridges the gap from model to value. This book allows readers to gain a true mastery of the principles underlying financial modeling and valuation by helping them to: Develop flexible and accurate valuation analysis incorporating cash flow waterfalls, depreciation and retirements, updates for new historic periods, and dynamic presentation of scenario and sensitivity analysis; Build customized spreadsheet functions that solve circular logic arising in project and corporate valuation without cumbersome copy and paste macros; Derive accurate measures of normalized cash flow and implied valuation multiples that account for asset life, changing growth, taxes, varying returns and cost of capital; Incorporate stochastic analysis with alternative time series equations and Monte Carlo simulation without add-ins; Understand valuation effects of debt sizing, sculpting, project funding, re-financing, holding periods and credit enhancements. Corporate and Project Finance Modeling provides comprehensive guidance and extensive explanation, making it essential reading for anyone in the field.

... The Corporate Bond Project: Organization and Methods ... National Bureau of Economic Research, Financial Research Program

... The Corporate Bond Project: Organization and Methods ... National Bureau of Economic Research, Financial Research Program PDF Author: Corporate bond project
Publisher:
ISBN:
Category :
Languages : en
Pages : 232

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Book Description


Corporate Bond Quality and Investor Experience

Corporate Bond Quality and Investor Experience PDF Author: Walter Braddock Hickman
Publisher:
ISBN: 9780691041179
Category :
Languages : en
Pages :

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Book Description
The Description for this book, Corporate Bond Quality and Investor Experience, will be forthcoming.

Capital Markets in India

Capital Markets in India PDF Author: Rajesh Chakrabarti
Publisher: SAGE Publications
ISBN: 8132105001
Category : Business & Economics
Languages : en
Pages : 419

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Book Description
This book provides a comprehensive picture of the recent trends and developments in the Indian finance scenario. It provides the reader with a comprehensive description and assessment of the Indian capital markets and an analytical approach together with a description of major recent developments and the current status of the finance sector. The collection deals with issues like brokerage, security analysis, and underwriting, as well as the legal infrastructure of the markets. It focuses primarily on the Indian stock markets, corporate bond markets and derivatives markets. It also looks at the importance of asset management companies such as those involved with mutual funds, pension funds and venture capital funds to gain a better understanding of the asset management industry in India.

Managing Credit Risk in Corporate Bond Portfolios

Managing Credit Risk in Corporate Bond Portfolios PDF Author: Srichander Ramaswamy
Publisher: John Wiley & Sons
ISBN: 0471488321
Category : Business & Economics
Languages : en
Pages : 256

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Book Description
Expert guidance on managing credit risk in bond portfolios Managing Credit Risk in Corporate Bond Portfolios shows readers howto measure and manage the risks of a corporate bond portfolioagainst its benchmark. This comprehensive guide explores a widerange of topics surrounding credit risk and bond portfolios,including the similarities and differences between corporate andgovernment bond portfolios, yield curve risk, default and creditmigration risk, Monte Carlo simulation techniques, and portfolioselection methods. Srichander Ramaswamy, PhD (Basel, Switzerland), is Head ofInvestment Analysis at the Bank for International Settlements (BIS)in Basel, Switzerland, and Adjunct Professor of Banking andFinance, University of Lausanne.

Transforming Green Bond Markets

Transforming Green Bond Markets PDF Author: Juan Antonio Ketterer
Publisher: Inter-American Development Bank
ISBN:
Category : Technology & Engineering
Languages : en
Pages : 36

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Book Description
Despite exhibiting remarkable growth, the green bond market still represents less than 1 percent of the global bond market. This paper identifies two challenges that might slow the adoption of green bonds and presents a menu of responses that policymakers, regulators, and public financial institutions can use to offset these challenges. Specifically, it explores two key dimensions: (i) the risk profile of the green bond instrument and (ii) the transaction costs associated with issuance of and reporting on green bonds. New approaches to risk design and technology-based approaches are essential to untap the potential of green bond markets, particularly in Latin America and the Caribbean and other developing regions. The incorporation of financial mechanisms such as covered bonds and guarantees can adequately address the risk of the issues, making the market more attractive for investors. Enhanced regulation and education and leveraging efficiencies of new technologies such as distributed ledger technologies can substantially reduce monitoring and reporting costs, while improving transparency in the use of proceeds and market integrity.