Corporate Bonds and Commercial Paper
Worked examples illustrating key points
Explanation of complex or obscure terms
Full glossary of terms
The titles in this series, all previously published by BPP Training, are now available in entirely updated and reformatted editions. Each offers an international perspective on a particular aspect of risk management.
Topics in this title include bond prices and yields, making a corporate bond issue, survey of bond markets, medium term notes and commercial paper, and credit ratings.
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The Debt Markets
Bond Prices and Yields
Making a Corporate Bond Issue
Survey of the Bond Markets
MediumTerm Notes MTNs
Commercial Paper CP
Issuers and Investors Risks
accrued interest Alpha Alpha Bank annum arrange asset-backed securities basis points bearer bonds bond issue bond issuer bond prices bondholders borrowing buyer certificate clean price Clearstream commercial paper corporate bonds coupon rate covenants CP program credit rating credit risk currency current yield dealers debt markets debt securities denominated depository discount dollar domestic bond market domestic market eurobond issue eurobond market Euroclear Euroclear and Clearstream event of default example fixed-rate foreign FRNs funds government bonds income interest payments interest-rate investment grade investors ISMA issue bonds issue CP issue price lead manager LIBOR liquid loan stock market interest rates market price million money market months MTN program negative pledge nominal value pay interest purchase put option rate of interest redeem redemption yield secondary market secondary-market trading securitized sell shelf registration short-term six-month LIBOR sold specified stock exchange swap syndicate terms and conditions transaction trustee underwriters unsecured