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15%OFFMartin J. Whitman - Distress Investing - 9780470117675 - V9780470117675
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Distress Investing

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Description for Distress Investing Hardcover. A comprehensive guide to distress investing around the world Increasingly, corporate rehabilitation is more interesting than corporate liquidation to governments and capital markets. Following this trend, a mezzanine industry of mutual funds, hedge funds, and private investors has stepped up to fill the role of the traditional corporate lender. Series: Wiley Finance Series. Num Pages: 272 pages, Illustrations. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 233 x 158 x 31. Weight in Grams: 466.

Financial innovation, new laws and regulations, and the financial meltdown of 2007–2008 are just a few of the forces that have shaped, and continue to shape, today's distress investment environment. Combine this with the fact that the discipline of distress investing doesn't always follow what conventional wisdom says, and you can see why it is one of the most challenging areas in finance.

Nobody understands this better than Martin Whitman—the legendary founder of Third Avenue Management LLC and a pioneer in the field of distressed markets—and leading academic Dr. Fernando Diz of Syracuse University. That's why they decided to write ... Read more

Divided into four comprehensive parts—the General Landscape of Distress Investing, Restructuring Troubled Issuers, the Investment Process, and Cases and Implications for Public Policy—this book comprehensively covers the practice of buy-and-hold investing in distressed credits, whether it be performing loans or the reinstated issues of a reorganized issuer.

From the recent changes to U.S. bankruptcy code and creditor rights to cash bailouts, you'll quickly learn how to analyze distressed situations such as pricing issues, arbitrage opportunities, tax disadvantages, and the reorganization of funding plans. Along the way, case studies of both large and small distress investing deals—from Kmart to Home Products International—will give you a better perspective of the business.

Critical topics addressed throughout these pages include:

  • Chapter 11 bankruptcy and why it's not considered an ending, but rather a beginning when it comes to distress investing
  • The "Five Basic Truths" of distress investing
  • The difficulty of due diligence for distressed issues
  • Distress investing risks—from reorganization risk to risk associated with the alteration of priority of payments in bankruptcy
  • Valuing companies by both going concern as well as their resource conversion attributes

In today's turbulent economic environment, distress investing presents some enticing opportunities. Put yourself in a better position to excel at this endeavor with Distress Investing as your guide.

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Product Details

Format
Hardback
Publication date
2009
Publisher
John Wiley and Sons Ltd United Kingdom
Number of pages
272
Condition
New
Series
Wiley Finance Series
Number of Pages
272
Place of Publication
New York, United States
ISBN
9780470117675
SKU
V9780470117675
Shipping Time
Usually ships in 7 to 11 working days
Ref
99-50

About Martin J. Whitman
MARTIN J. WHITMAN is Chairman and co-CIO of Third Avenue Management LLC. He has taught courses in value investing and distressed investing for the past thirty years at the Schools of Management at both Syracuse University and Yale University. Whitman is also the author of the Wiley titles Value Investing and The Aggressive Conservative Investor. FERNANDO DIZ ... Read more

Reviews for Distress Investing
“…this is the best book that I have read since The Black Swan…do yourself a favor and pick up a copy; you'd be crazy not to.” (SeekingAlpha.com, June 11, 2009)

Goodreads reviews for Distress Investing


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