g compare default risk, credit spread risk, and downgrade risk and demonstrate the use of credit derivative instruments to address each risk in the context of a fixed- income portfolio; Flashcards Preview

L3 22 Fixed- Income Portfolio Management—Part II > g compare default risk, credit spread risk, and downgrade risk and demonstrate the use of credit derivative instruments to address each risk in the context of a fixed- income portfolio; > Flashcards

Flashcards in g compare default risk, credit spread risk, and downgrade risk and demonstrate the use of credit derivative instruments to address each risk in the context of a fixed- income portfolio; Deck (0)
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Decks in L3 22 Fixed- Income Portfolio Management—Part II Class (13):