New Tools for Analyzing, Valuing, and Managing Fixed Income Instruments
Edited By Frank J. Fabozzi, Professor of Finance, EDHEC Business School, with Steven V. Mann
Professor Fabozzi reached out to Mark Shenkman to author the handbook’s chapter on high yield portfolio management.
A Comprehensive Guide to High-Yield Bonds, Loans, and Other Instruments
By William F. Maxwell and Mark R. Shenkman
Market Structure, Portfolio Management, and Credit Risk Modeling
By Theodore M. Barnhill, Jr., William F. Maxwell, and Mark R. Shenkman