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Managing Lease Portfolios
ISBN/GTIN

Managing Lease Portfolios

How to Increase Return and Control Risk
HardcoverGebunden
Verkaufsrang124309inWirtschaft

Beschreibung

Leasing is one of today s more complex forms of financing, and, unless you have extensive experience in this arena, making informed decisions can be difficult. Over the life of a lease, its risks and returns change, and the factors that affect the risks and returns also change.
In Managing Lease Portfolios , Townsend Walker, an expert in this field, explains how to evaluate the risk of lease portfolios as well as hedge their long-term, non-traded risks. Here, you'll learn how to apply various financial tools to your portfolio of leases and discover the work that goes into each step-such as measuring the risks of a lease, calculating the returns, and estimating the effects of diversification. Many of the ideas and concepts found within this comprehensive resource have existed for a number of years in the fields of foreign exchange, interest rate and credit derivatives, and the bond and stock markets. This book adapts and applies these concepts to managing leases. Then it illustrates how you can implement these new concepts through concrete models that have been proven to work in the real world.
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Details

ISBN/EAN/Artikel978-0-471-70630-4
ProduktartHardcover
EinbandGebunden
Erschienen am18.11.2005
Auflage1. Auflage
Reihen-Nr.Series
Seiten206 Seiten
SpracheEnglisch
Artikel-Nr.8425220
KatalogZeitfracht
Datenquelle-Nr.103610502
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Reihe

Autor

TOWNSEND WALKER is a partner of APERIMUS, a firm focused on identifying the sources of risk in leasing portfolios and devising structures to control those risks. He specializes in providing lessors with sophisticated modeling and structuring services, including comprehensive portfolio analysis, capital allocation, risk assessment, derivative structuring, and more. Most recently, Walker was a managing director at Banc of America Leasing & Capital Group, where he developed a portfolio model for leases and a lease valuation model. Walker received a PhD in economics from Stanford, an MA in economics from NYU, and a BS in foreign service from Georgetown University. He is also the author of A Guide for Using the Foreign Exchange Market (published by Wiley) and Managing Risk with Derivatives.

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