Research Catalog

High yield debt : an insider's guide to the marketplace

Title
High yield debt : an insider's guide to the marketplace / Rajay Bagaria.
Author
Bagaria, Rajay, 1977-
Publication
Chichester, West Sussex : Wiley, 2016.
Supplementary Content
Cover image

Items in the Library & Off-site

Filter by

1 Item

StatusFormatAccessCall NumberItem Location
TextUse in library JBE 16-305Schwarzman Building - General Research Room 315

Details

Description
xxii, 176 pages; 24 cm
Summary
  • "Examine the high yield market for a clear understanding of this evolving asset class High Yield Debt is the one-stop resource for wealth advisors seeking an in-depth understanding of this misunderstood asset class. The high yield market provides a diverse opportunity set, including fixed and floating rate debt, high and low quality debt issues and both short- and long-term duration; but many fail to understand that not all high yield exposure is the same, and that different market segments and strategies work best at different points in the economic cycle. This guide addresses the confusion surrounding high yield debt. You'll find the information you need to decide whether or not to buy in to a high yield fund, and how to evaluate the opportunities and risks without getting lost in the jargon. The U.S. corporate high yield market is worth $2.4 trillion--more than the stock markets of most developed countries. Market growth has increased the number of funds with high yield exposure, as well as the types of debt products available for investment. This book breaks it down into concrete terms, providing the answers advisors need to effectively evaluate the opportunities on offer. Understand the high yield asset class Learn the debt structures, performance and defaults Evaluate risk and investment opportunities Penetrate the jargon to make sense of high yield investment Over 300 publicly traded funds provide exposure to U.S. high yield, but despite it's size and ubiquity, understanding of the asset class as a whole remains somewhat of a rarity--even among participants. A lack of transparency is partially to blame, but the market's evolution over the past fifteen years is the larger issue. High Yield Debt explains the modern high yield market in real terms, providing a much-needed resource for the savvy investor"--
  • "Investors, wealth advisors, investment bankers, business school students, lawyers, accountants, rating agencies and research providers are increasingly faced with difficult questions on high yield. The press frequently uses jargon that even experienced market participants have difficulty understanding. At present, there are few resources that market participants can look to for answers. While other books on the high yield market are specialized, most market participants are engaged at a level where they are simply deciding whether to buy into a high yield fund and, if so, which one. The book addresses this knowledge gap and is intended as a one stop shop for the widest possible audience, explaining high yield debt, articulating how to evaluate risk (is it junk or something more) and how to make sense of the opportunity set"--
Subjects
Note
  • Includes index.
Call Number
JBE 16-305
ISBN
  • 9781119134411
  • 1119134412
LCCN
2015042482
OCLC
923648942
Author
Bagaria, Rajay, 1977- author.
Title
High yield debt : an insider's guide to the marketplace / Rajay Bagaria.
Publisher
Chichester, West Sussex : Wiley, 2016.
Type of Content
text
Type of Medium
unmediated
Type of Carrier
volume
Connect to:
Cover image
Other Form:
Online version: Bagaria, Rajay, 1977- author. High yield debt. Hoboken : Wiley, 2016 9781119134435 (DLC) 2015047696
Research Call Number
JBE 16-305
View in Legacy Catalog