Bank Loans: Secondary Market and Portfolio Management (Frank J. Fabozzi Series)
Bank Loans\n\nSecondary Market and Portfolio Management\n\nFrank J. Fabozzi (Edited by), FJ Fabozzi (Author)\n\n9781883249441, Wiley\n\nHardback, published 31 July 1998\n\n224 pages\n23.8 x 16.2 x 1.7 cm, 0.435 kg\n\nThe bank loan market has increased dramatically in recent years and is now viewed by some as a distinct asset class. This comprehensive book covers the structure of the market, secondary market in trading practices, and how to manage a bank loan portfolio.\n\nContributing Authors.\n 1. The Development of the Leveraged Loan Asset Class (S. Miller).\n 2. The Leveraged Bank Loan Market (S. Oldham).\n 3. Evolving Role of Credit Ratings for Bank Loans (S. Bavaria).\n 4. Bank Loan Ratings (J. Rocher, et al.).\n 5. The Impact of Subordination on Loan Loss (D. Keisman and S. Miller).\n 6. Market Standards for Loan Trading in the Secondary Market (A. Taylor).\n 7. Latin American Loan Syndications in the 1990s (M. Coffey).\n 8. Securitization of Commercial and Industrial Loans (A.]
Compare prices (6 shops)
| shop | Price | Action |
|---|---|---|
|
|
9,87 GBP | Go to shop |
|
|
10,68 GBP | Go to shop |
|
|
12,28 GBP | Go to shop |
|
|
49,15 GBP | Go to shop |
|
|
50,46 GBP | Go to shop |
|
|
63,71 GBP | Go to shop |
