Debt management : a practitioner's guide
著者
書誌事項
Debt management : a practitioner's guide
(Financial Management Association survey and synthesis series)
Harvard Business School Press, c2001
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注記
Includes bibliographical references (p. 379-404) and index
内容説明・目次
内容説明
This practical book provides a comprehensive prudent approach to issuing, managing and retiring corporate debt obligations, and can be used by practitioners in every industry. This book explains how companies can use debt as much more than just a source of funds. From start up to traditional blue-chip firms, debt can be a strategic financial instrument. With insights into how factors such as bond valuation methodologies, derivatives, and tax and regulatory
restrictions affect the process, the authors provide practitioners in both the US and international debt markets with the information and tools needed to make smart debt management decisions.
目次
- 1. Overview of Debt Management
- 2. Commercial Debt Financing
- 3. Debt Capital Markets
- 4. High-Yield Debt
- 5. New Issue Design
- 6. Institutional Considerations
- 7. Fixed-Income Derivatives
- 8. Debt Innovations
- 9. Valuing Bonds and Bank Loans
- 10. Bond Refunding: Measuring the Net Advantage
- 11. Bond Refunding: The Timing Decision
- 12. Sinking-Fund Management
- 13. Other Types of Bond Refundings
- 14. Preferred Stock and Preference Stock
- 15. Convertible Securities
- 16. The Future of Debt Management
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