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Description - Credit Derivatives Handbook by Greg N. Gregoriou

The world's leading financial thinkers share their insights into the latest developments in credit derivatives In The Credit Derivatives Handbook, some of the world's sharpest financial and legal minds come together to discuss how credit derivatives have evolved from tools restricted to the banking industry into flexible and customizable instruments used by investors of all kinds. You will come away with the knowledge and insight needed to measure and value risk, as well as the ability to put credit derivatives to work. Over fifteen contributors provide in-depth analyses of subjects in their respective areas of expertise, such as: Key products, applications, and typical trades, hedging and credit structuring Pricing of credit default swaps and synthetic CDOs Design of synthetic CDOs Copula models, with illustrative examples Credit derivatives in investment portfolios Opportunities for structuring credit derivatives in accordance with Islamic finance Comprehensive in scope but executed in meticulous detail, The Credit Derivatives Handbook provides a complete, global perspective of what the editors consider "one of the most important financial innovations of recent times."

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Book Details

ISBN: 9780071549523
ISBN-10: 0071549528
Format: Hardback
(226mm x 160mm x 32mm)
Pages: 528
Imprint: McGraw-Hill Professional
Publisher: McGraw-Hill Education - Europe
Publish Date: 1-Aug-2008
Country of Publication: United States

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Author Biography - Greg N. Gregoriou

Greg N. Gregoriou is Professor of Finance in the School of Business and Economics at the State University of New York, Plattsburgh. He holds a Ph.D. in finance from the University of Quebec in Montreal. Gregoriou specializes in hedge funds, funds of hedge funds, and managed futures. He has published 26 books and over 50 journal articles. He is also hedge fund editor for the peer-reviewed publication Journal of Derivatives and Hedge Funds and editorial board member of the Journal of Wealth Management and the Journal of Risk Management in Financial Institutions. Paul U. Ali is an Associate Professor in the Faculty of Law at the University of Melbourne, Australia, and a member of its Centre for Corporate Law and Securities Regulation. Previously, he practiced law in Sydney. Ali has published numerous books and articles on banking and finance law, corporate governance and institutional investment law, securitization law, and structured finance law.

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