A Guide to Asian High Yield Bonds

A Guide to Asian High Yield Bonds
Author: Florian H. A. Schmidt
Publsiher: John Wiley & Sons
Total Pages: 480
Release: 2014-01-28
Genre: Business & Economics
ISBN: 9781118502020

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An up-to-date, comprehensive analysis of the high-yield bond market in Asia Beginning with a general definition of high-yield bond products and where they reside within the corporate capital structure, this newly updated guide looks at the development of high-yield bonds in the United States and Europe before analysing this sector in Asia. It covers issuer countries and industries, ratings, and size distributions, and also covers the diversification of the high-yield issuer universe. It includes a thorough technical analysis of high-yield bond structures commonly employed in Asian transactions, including discussion of the respective covenants and security packages that vary widely across the region. Chapters and sections new to this edition cover such subjects as high-yield bond restructuring, the new high-yield "Dim Sum" market, and the high-yield placement market shutdown of 2008 – 2009. Finally, the book looks at the new characteristics of Asian economies for indicators on how the high-yield market will develop there are the near future. Offers an extremely detailed analysis of Asia's high-yield bond market Features new and updated material, including new coverage of the key differences between Asian structures and United States structures Ideal for CFOs of companies contemplating high-yield issuance, as well as investment bankers, bank credit analysts, portfolio managers, and institutional investors

Asia s Credit Markets

Asia s Credit Markets
Author: Florian Schmidt
Publsiher: Unknown
Total Pages: 740
Release: 2004-04-27
Genre: Business & Economics
ISBN: UCSD:31822033299629

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Publisher Description

Asia s Debt Capital Markets

Asia s Debt Capital Markets
Author: Douglas W. Arner,Jae-Ha Park,Paul Lejot,Qiao Liu
Publsiher: Springer Science & Business Media
Total Pages: 328
Release: 2006-12-11
Genre: Business & Economics
ISBN: 9780387250908

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This volume comprises studies by leading research scholars in the United States and Asia on Asia’s debt capital markets. The book is unique in drawing upon the research, experience and perspectives of experts from the academic, legal, governmental and practical investment fields. They assess the risks and opportunities, and strategies for developing these markets. The authors adopt a multidisciplinary approach, encompassing economics, finance and law.

Asia s Stock Markets from the Ground Up

Asia   s Stock Markets from the Ground Up
Author: Herald van der Linde
Publsiher: Marshall Cavendish International Asia Pte Ltd
Total Pages: 274
Release: 2021-10-15
Genre: Business & Economics
ISBN: 9789815009521

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A summary of how stock markets work for those looking to invest. This book is a practical guide to Asia’s stock markets for a general audience. It is for people who do not know much about financial markets but, for whatever reason, would like to learn more. They could be seasoned expatriate pilots, academics and other professionals, newcomers in the region as well as students or young men and women about to start in the finance industry. The idea is to cut through the alphabet soup of industry jargon to provide a clear understanding of how these markets work, how they differ from each other in size and depth, what unique features each stock market has and what drives all the different sectors in these markets – consumers, the internet, banks and technology. The book includes helpful history lessons and personal anecdotes drawn from the author’s 30 years in the world of Asian investments.

The Development of Local Debt Markets in Asia

The Development of Local Debt Markets in Asia
Author: Mr.Mangal Goswami,Mr.Sunil Sharma
Publsiher: International Monetary Fund
Total Pages: 33
Release: 2011-06-01
Genre: Business & Economics
ISBN: 9781455259373

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The paper makes an assessment of the progress made in developing local debt markets in emerging Asia. Market development has been limited by hurdles confronting borrowers and lenders, current and potential liquidity providers, and insufficient support from government policies and regulations. Besides fostering a credit culture to deepen local debt markets, the issue of critical size can be addressed through an integrated regional market for local currency bonds that provides greater scale, efficiency, and access. With rapid economic growth in Asia, a key challenge is to generate financial assets that can provide the underlying collateral for expanding fixed-income markets, and hence domestic and regional investment opportunities.

Mortgage backed Securities Markets in Asia

Mortgage backed Securities Markets in Asia
Author: S. Ghon Rhee,Yutaka Shimomoto
Publsiher: Unknown
Total Pages: 704
Release: 1999
Genre: Asset-backed financing
ISBN: UCSD:31822029980224

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The Asian Bond Markets Initiative

The Asian Bond Markets Initiative
Author: Asian Development Bank
Publsiher: Asian Development Bank
Total Pages: 69
Release: 2017-06-01
Genre: Business & Economics
ISBN: 9789292578442

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The Asian Bond Markets Initiative (ABMI) was launched in December 2002 by the Association of Southeast Asian Nations (ASEAN) and the People’s Republic of China, Japan, and the Republic of Korea---collectively known as ASEAN+3 to strengthen financial stability and reduce the region’s vulnerability to the sudden reversal of capital flows. This paper also provides recommendations for addressing new sources of market volatility and other challenges within and outside the framework of the Asian Bond Markets Initiative.

South Asian Bond Markets

South Asian Bond Markets
Author: Kiatchai Sophastienphong,Yibin Mu,Carlotta Saporito
Publsiher: World Bank Publications
Total Pages: 226
Release: 2008
Genre: Business & Economics
ISBN: 9780821376027

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The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system's assets. The domestic debt markets including the government bond and corporate bond markets are at an early stage of development and there are few institutional investors. In recent years, countries in SAR have attempted to develop local debt markets, although the pace of development remains uneven and slow due to many regulatory and institutional impediments. With the notable exception of India, governments in SAR have yet to implement measures required for the proper development of the domestic bond markets. The book provides a comprehensive overview of the major bond markets in SAR (Bangladesh, India, Nepal, Pakistan and Sri Lanka) highlighting the areas which need further reforms. It is hoped that the book will contribute to our knowledge of bond markets in South Asian countries and create a broad based ownership of the recommendations made by the authors.