【アルトマン著 倒産、信用リスクと高利回りジャンクボンド】
Bankruptcy, Credit Risk, and High Yield Junk Bonds H 576 p. 01
Altman, EI
著
発行年月 |
2001年12月 |
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出版国 |
イギリス |
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言語 |
英語 |
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媒体 |
冊子 |
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装丁 |
hardcover |
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ページ数/巻数 |
576 p. |
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ジャンル |
洋書/社会科学/経済学/金融経済学 |
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ISBN |
9780631225638 |
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商品コード |
0200110182 |
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| 国件名 |
イギリス
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新刊案内掲載月 |
2004年04月 |
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商品URL
| https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=0200110182 |
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内容
This is the authoritative collection of the writings of Dr. Edward I. Altman, the world's leading authority on bankruptcy, corporate distress, and defaults, and creator of the widely–used Z–Score model. This book contains both classic and never–before–published articles, along with Altman's comprehensive introduction that places all the articles in context. The four major and related themes explored here are: Distress Prediction Models. Credit Risk Management. High Yield "Junk" Bonds and Distressed Securities. Bankruptcy and Firm Valuation. These articles span more than 30 years of contributions to scholarly and professional publications and for government regulatory and policy considerations. Altman's pioneering works have formed the basis for modern credit risk management procedures and policies by practitioners and regulators, and have motivated and guided works from other scholars around the globe.