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The credit crisis has many people in the financial industry rethinking how to manage their credit risk and exposure.


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It is now more important than ever for participants in the financial markets -- whether they are trading or not -- to understand these credit products given their increasing impact. The contributors to this book are practicing professionals who honed their craft at some of the industry's most successful companies including: Credit Derivative Strategies closes the gap with state-of-the-art techniques for picking credit hedge funds, analyzing event risk, identifying My library Help Advanced Book Search.

In the decade since the credit derivatives market started, financial professionals have become increasingly sophisticated.

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Most books on the subject have not kept pace. Credit Derivative Strategies closes the gap with state-of-the-art techniques for picking credit hedge funds, analyzing event risk, identifying relative value opportunities and managing CDOs.


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The credit crisis has many people in the financial industry rethinking how to manage their credit risk and exposure. It is now more important than ever for participants in the financial markets -- whether they are trading or not -- to understand these credit products given their increasing impact. Credit Derivative Strategies closes the gap with state-of-the-art techniques for picking credit hedge funds, analyzing event risk, identifying relative value opportunities and managing CDOs.

How To Manage Risk When Investing In Stocks

He has more than twenty years of experience in the global financial industry. Prior to founding Quantifi, he was the director of global credit derivatives research at Salomon Smith Barney. During his ten years at Salomon, he also worked in interest rate derivatives, emerging markets, and global fixed income and was responsible for postgraduate recruiting for fixed income research in New York.