Author: Stephen G. Moyer · Publisher: J. Ross Publishing · Language: English
ISBNs: ISBN-10: 1932159185 · ISBN-13: 978-1932159189
Distressed Debt Analysis: Strategies for Speculative Investors by Stephen G. Moyer is a comprehensive guide to understanding and investing in distressed securities. This authoritative resource explores the complex world of financially troubled companies, providing investors with the tools to analyze, value, and profit from distressed debt opportunities. Combining academic rigor with real-world case studies, it is widely regarded as the definitive reference on the subject.
Fundamentals of distressed debt and high-yield investing
Techniques for analyzing distressed companies and capital structures
Legal and financial frameworks in bankruptcy and restructuring
Strategies for evaluating recovery value and risk-return tradeoffs
Approaches for portfolio construction and risk management in distressed investing
Case studies illustrating real-world restructuring outcomes and investment tactics
This book demystifies one of the most sophisticated areas of finance — distressed investing. It provides a step-by-step framework for identifying undervalued securities, assessing company viability, and navigating complex bankruptcy proceedings. Used by professionals worldwide, it is essential reading for investors seeking to capitalize on opportunities in the distressed debt market.
Investment analysts, portfolio managers, and hedge fund professionals
Distressed debt and private equity investors
Financial advisors and restructuring consultants
MBA and finance students focusing on corporate restructuring and fixed income
Professionals preparing for roles in special situations or credit analysis
Distressed securities valuation methods
Corporate restructuring and bankruptcy processes
Credit analysis and recovery modeling
Legal and financial considerations in Chapter 11 reorganizations
Trading strategies and risk management in speculative debt markets
Distressed Debt Analysis: Strategies for Speculative Investors is a must-have reference for understanding the high-stakes world of distressed investing. Blending detailed financial analysis with practical case studies, it equips readers with the knowledge and tools to identify, assess, and profit from distressed and high-yield opportunities in today’s complex markets.