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Hybrid Financial Instruments by Bryan Coyle
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    Description of Hybrid Financial Instruments

    From the "Risk Management" series, this is a concise and practical guide to financial instruments that are made up of two or more other instruments.

    The term "hybrid" has come to cover a wide range of financial products and this book seeks to explain the more commonly used ones. They are examined from the perspective of both corporates looking to raise finance and private investors.

    This new range of risk management texts has undergone extensive re-writing to give each book in the series an international perspective. Each explains and analyses core aspects of risk assessment and management so as to be useful to students and practitioners.

    All of these titles adopt a practical and clear approach to their subject, and all are fully updated versions of a series of books previously produced by training experts at BPP.

    This book is part of the CIB's series on Risk Management. Each of the texts in the series explains and analyses core aspects of risk management in 150-180 pages, and emphasises a practical approach.

    Book in the series:

    Cashflow Forecasting and Liquidity (10502)
    Cashflow Control (10503)
    Cash Collection and Transmission (10504)

    Framework for Credit Risk Management (10506)
    Measuring Credit Risk (10507)
    Corporate Credit Analysis (10508)

    Capital Structuring (10509)
    Mergers & Acquisitions (10510)
    Venture Capital and Buyouts (10511)
    Leasing (10512)

    Introduction to Currency Risk (12598)
    Foreign Exchange Markets (12599)
    Currency Option (12600)
    Currency Futures (12601)
    Currency Swaps (12602)
    Hedging Currency Exposures (12603)

    Introduction to Interest Risk (12604)
    Money Markets (12605)
    Interest Rate Options (12606)
    Interest Rate Swaps (12607)
    FRAs and Interest Rate Futures (12608)
    Hedging Interest Rate Exposures (12609)

    Overview of the Markets (12610)
    Equity Finance (12611)
    Government Bonds (12612)
    Corporate Bonds and Commercial Paper (12613)
    Hybrid Financial Instruments (12614)
    Bank Finance (12615)

    Contents of Hybrid Financial Instruments

    1. What are Hybrids? 1
    2. Convertible Bonds and Exchangeable Bonds 7
    3. Convertible Bonds: Prices and Yields 37
    4. Why Use Convertibles? 63
    5. The Convertible-Bond Markets 73
    6. Preferred Stock 81
    7. Equity Warrants 93
    8. Mezzanine Finance 113
    9. Asset-Backed Securities 119
    10. Accounting Issues 129
    Glossary 137
    Index 145


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