WorldCat Identities

Altman, Edward I. 1941-

Overview
Works: 208 works in 616 publications in 2 languages and 9,701 library holdings
Genres: Handbooks and manuals  Conference papers and proceedings 
Roles: Author, Editor, Other, Contributor, Thesis advisor
Classifications: HG3766, 658.15
Publication Timeline
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Most widely held works by Edward I Altman
Financial crises : institutions and markets in a fragile environment by Edward I Altman( Book )

14 editions published between 1976 and 1987 in English and Undetermined and held by 479 WorldCat member libraries worldwide

Corporate financial distress : a complete guide to predicting, avoiding, and dealing with bankruptcy by Edward I Altman( Book )

18 editions published between 1982 and 1993 in English and held by 459 WorldCat member libraries worldwide

Corporate bankruptcy in America by Edward I Altman( Book )

17 editions published between 1971 and 1980 in English and Undetermined and held by 456 WorldCat member libraries worldwide

Financial handbook by Robert Hiester Montgomery( Book )

10 editions published between 1981 and 1996 in 3 languages and held by 447 WorldCat member libraries worldwide

Handbook of financial markets and institutions( Book )

12 editions published between 1986 and 1987 in English and held by 438 WorldCat member libraries worldwide

Recent advances in corporate finance by Edward I Altman( Book )

14 editions published in 1985 in English and Undetermined and held by 419 WorldCat member libraries worldwide

Handbook of corporate finance( Book )

12 editions published between 1981 and 1986 in English and held by 374 WorldCat member libraries worldwide

Application of classification techniques in business, banking, and finance by Edward I Altman( Book )

10 editions published in 1981 in English and held by 368 WorldCat member libraries worldwide

The High-yield debt market : investment performance and economic impact( Book )

6 editions published between 1990 and 1998 in English and held by 365 WorldCat member libraries worldwide

Managing credit risk : the next great financial challenge by John B Caouette( Book )

13 editions published in 1998 in English and held by 343 WorldCat member libraries worldwide

In all cases, the authors emphasize that success will go to those firms that employ the right tools and create the right kind of risk culture within their organizations. A strong concluding chapter integrates emerging trends in the financial markets with the new methods in the context of the overall credit environment." "Managing Credit Risk is for bankers, regulators, and financial market professionals."--Jacket
Corporate financial distress and bankruptcy : a complete guide to predicting & avoiding distress and profiting from bankruptcy by Edward I Altman( Book )

15 editions published between 1983 and 1993 in English and held by 325 WorldCat member libraries worldwide

Investing in junk bonds : inside the high yield debt market by Edward I Altman( Book )

13 editions published between 1986 and 2003 in English and Undetermined and held by 316 WorldCat member libraries worldwide

The prediction of corporate bankruptcy : a discriminant analysis by Edward I Altman( Book )

16 editions published between 1967 and 1988 in English and Undetermined and held by 267 WorldCat member libraries worldwide

Corporate financial distress and bankruptcy : predict and avoid bankruptcy, analyze and invest in distressed debt by Edward I Altman( Book )

18 editions published between 2005 and 2013 in English and held by 228 WorldCat member libraries worldwide

"In this newly revised Third Edition of Corporate Financial Distress and Bankruptcy, credit and corporate bankruptcy experts Ed Altman and Edith Hotchkiss update and expand the discussion of corporate distress and bankruptcy, as well as the related markets dealing with high-yield and distressed debt. In addition to expanded empirical and descriptive aspects of bankruptcy and credit analysis, this Third Edition offers state-of-the-art analysis and research on the costs of bankruptcy, credit default prediction, bankruptcy and distressed restructuring, and the post-emergence period performance of bankrupt firms."--Jacket
Bankruptcy, credit risk, and high yield junk bonds by Edward I Altman( Book )

9 editions published between 2001 and 2002 in English and held by 181 WorldCat member libraries worldwide

This is the authoritative collection of the writings of Dr Edward I. Altman, a leading authority on bankruptcy, corporate distress, and defaults, and creator of the widely-used Z-Score model. This book contains both classic and never-before-published articles, along with Altman's comprehensive introduction that places all the articles in context. The four major and related themes explored here are: distress prediction models, credit risk management, high yield "junk" bonds, and distressed securities, bankruptcy and firm valuation. These articles span more than 30 years of contributions to scholarly and professional publications and for government regulatory and policy considerations. Altman's pioneering works have formed the basis for modern credit risk management procedures and policies by practitioners and regulators, and have motivated and guided works from other scholars around the globe
Bankruptcy & distressed restructurings : analytical issues and investment opportunities( Book )

11 editions published between 1992 and 1999 in English and held by 160 WorldCat member libraries worldwide

Papers from a conference held March 1991 under the joint sponsorship of the New York University Salomon Center and a number of interested corporate contributors
Distressed securities : analyzing and evaluating market potential and investment risk by Edward I Altman( Book )

8 editions published between 1991 and 1999 in English and held by 154 WorldCat member libraries worldwide

The financial dynamics of the insurance industry( Book )

9 editions published in 1995 in English and held by 149 WorldCat member libraries worldwide

The fair value of insurance business by Irwin T Vanderhoof( Book )

9 editions published in 2000 in English and held by 101 WorldCat member libraries worldwide

Insurance companies, as well as banks and thrift institutions, have traditionally reported assets and liabilities on the basis of their amortized cost, or book value. But following the turmoil in securities markets due to highly volatile interest rate fluctuations in the 1980s and the early 1990s, and problems caused by inadequate liquidity, in the mid-1990s the Financial Accounting Standards Board (FASB) issued a new ruling calling for financial intermediaries to report the fair, or market, value of most assets. Called FAS 115, this new standard is the first step in the eventual change to valuing all the assets and liabilities belonging to financial intermediaries under the fair value accounting method. Thus, these changes will pose tremendous future implications for three key business measures of a financial intermediary: Solvency: if the fair values of assets and liabilities are out-of-step, then healthy companies may report negative net worth and insolvent companies may appear to be in sound financial condition. Reported Earnings: if the fair values of assets and liabilities are out of step, then reported earnings will not accurately represent the financial operations of the company. Risk Management: FASB recently postponed the implementation of its new rules on accounting for the use of derivatives instruments. However, if the final set of rules for figuring the fair value of derivatives is not carefully crafted, it may be possible that companies prudently hedging their risks are subject to penalties in their financial reports, while companies taking greater risks appear to have less volatile financial performance. Compared to banks and other financial intermediaries, life insurance companies have the longest term and most complex liabilities, and hence the new FASB requirement poses the most severe challenges to the life insurance industry. The lessons learned from the debate among life insurance academics and professionals about how respond to the
Managing and measuring risk : emerging global standards and regulation after the financial crisis( Book )

13 editions published between 2012 and 2013 in English and held by 84 WorldCat member libraries worldwide

This edited volume presents the most recent achievements in risk measurement and management, as well as regulation of the financial industry, with contributions from prominent scholars and practitioners such as Robert Engle, 2002 Nobel Laureate in Economics, Viral Acharya, Zvi Bodie, Aswath Damodaran, Marti Subrahmanyam, Menachem Brenner and others. The book provides a comprehensive overview of recent emerging standards in risk management from an interdisciplinary perspective. Individual chapters expound on the theme of standards setting in this era of financial crises where new and unseen global risks have emerged. They are organized in such a way that allows the reader a broad perspective of the new emerging standards in macro, systemic and sovereign risk before zooming into the micro perspective of how risk is conceived and treated within a corporation. A section is dedicated to credit risk and to the increased importance of liquidity both in financial systems and at the firm's level
 
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Handbook of corporate finance
Alternative Names
Altman, E. 1941-

Altman, E. I. 1941-

Altman, Ed 1941-

Altman Edward

Altman, Edward 1941-

Altman, Edward I.

Altman, Edward Ira 1941-

Edward Altman Amerikaans econoom

Edward Altman amerikansk ekonom

Edward Altman amerikansk økonom

Edward Altman economista statunitense

Едуард Олтман

Эдвард Альтман

אדוארד אלטמן

ادوارد آلتمن اقتصاددان آمریکایی

アルトマン, E. I.

アルトマン(E. I. Altman)

アルトマン, エドワード・I

Languages
English (245)

Spanish (1)

Covers
Handbook of corporate financeThe High-yield debt market : investment performance and economic impactManaging credit risk : the next great financial challengeCorporate financial distress and bankruptcy : a complete guide to predicting & avoiding distress and profiting from bankruptcyInvesting in junk bonds : inside the high yield debt marketCorporate financial distress and bankruptcy : predict and avoid bankruptcy, analyze and invest in distressed debtBankruptcy, credit risk, and high yield junk bondsBankruptcy & distressed restructurings : analytical issues and investment opportunities