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Corporate Finance Practices and Risk Analysis
Corporate Finance Practices and Risk Analysis
Description
Book Introduction
This book is the first 'General Theory of Corporate Finance' published in Korea and corresponds to a 'Comprehensive Practical Guide to Corporate Finance'.
This book covers the types of corporate finance, loan design and risk analysis, syndication structure and cash flow analysis, various types of payment guarantees and their respective risk analysis, the pros and cons and risk analysis of import and export finance, the usefulness and risk analysis of currency forward (foreign exchange) transactions and swap finance, the pros and cons and risk analysis of various bonds (option bonds, convertible bonds, bonds with warrants, exchangeable bonds, etc.), and the characteristics, usefulness and risk analysis of asset-backed securities (ABS), credit derivatives, and credit-linked notes. This is a practical book that analyzes and organizes the characteristics, structure, cash flow, usefulness, advantages and disadvantages of each, focusing on practical cases.

index
Part 1: Types and Operation of Corporate Banking
Chapter 1: Banking Business & Risk Analysis
Chapter 2 Types and Operations of Corporate Banking
Chapter 3: Loan Structuring & Risk Analysis

Part 2: Import Finance and Export Finance (Import Finance & Risk Analysis)
Chapter 4: Import Finance & Risk Analysis
Chapter 5: Export Financing & Risk Analysis

Part 3: Derivative Financial Products and Foreign Exchange Risk Management (FX-related Finance & Risk Management)
Chapter 6: Foreign Exchange Transaction & Risk Management
Chapter 7: FX Spot/Forward Transaction & Risk Analysis
Chapter 8: Currency Swap/Option & Risk Analysis

Part 4: Types of Bonds & Risk Analysis
Chapter 9: Bond Risk & Profitability
Chapter 10: Types of Bonds and Risk Analysis (Corporate Bond Investment & Risk Analysis)

Part 5: Real Estate Finance and Project Finance
(Real Estate Finance & Project Finance)
Chapter 11: Real Estate Finance & Risk Analysis
Chapter 12: Project Finance and Risk Analysis

Part 6: Various Special Finance
Chapter 13: Asset-Backed Securities and Risk Analysis
Chapter 14: Foreign Currency Loans and Construction and Foreign Currency Guarantee Risk Analysis (FCL & Guarantee Risk Analysis)
Chapter 15: Syndication & Risk Analysis
Chapter 16: Credit Derivatives & Risk Analysis
Chapter 17: Other Special Finance and Risk Analysis (CDO, Commodity Finance & Risk Analysis)
GOODS SPECIFICS
- Date of issue: November 5, 2025
- Page count, weight, size: 533 pages | 188*257*35mm
- ISBN13: 9788928782857
- ISBN10: 8928782856

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