Cascadia's Fault
Автор: Jerry Thompson
Год издания: 0000
There is a crack in the earth’s crust that runs roughly 31 miles offshore, approximately 683 miles from Northern California up through Vancouver Island off the coast of British Columbia. The Cascadia Subduction Zone has generated massive earthquakes over and over again throughout geologic time—at least thirty-six major events in the last 10,000 years. This fault generates a monster earthquake about every 500 years. And the monster is due to return at any time. It could happen 200 years from now, or it could be tonight.The Cascadia Subduction Zone is virtually identical to the offshore fault that wrecked Sumatra in 2004. It will generate the same earthquake we saw in Sumatra, at magnitude nine or higher, sending crippling shockwaves across a far wider area than any California quake. Slamming into Sacramento, Portland, Seattle, Victoria, and Vancouver, it will send tidal waves to the shores of Australia, New Zealand, and Japan, damaging the economies of the Pacific Rim countries and their trading partners for years to come.In light of recent massive quakes in Haiti, Chile, and Mexico, Cascadia’s Fault not only tells the story of this potentially devastating earthquake and the tsunamis it will spawn, it also warns us about an impending crisis almost unprecedented in modern history.
A Mine of Faults
Автор: Bain Francis William
Год издания:
Investing in the Age of Sovereign Defaults. How to Preserve your Wealth in the Coming Crisis
Автор: Peter Treadway T.
Год издания:
Acclaimed investment experts Peter Treadway and Michael Wong explain how to protect your investments—and even profit—from the coming sovereign default crises A major sovereign default crisis is looming for the so-called developed economies of the world. The result will be a major redistribution of economic wealth and an overhaul of the international financial system on an epic scale. Investing in the Age of Sovereign Defaults: How to Preserve your Wealth in the Coming Crisis explains what lies ahead, and offers invaluable suggestions to help investors avoid massive losses. Explains why the West is headed for a major default crisis and how investors can protect themselves Contends that the value of gold will continue to rise and that sooner or later government debt, including that of the U.S. and Japan, will be shunned Written by investment experts Peter Treadway and Michael Wong The days of the economic status quo are coming to an end. Investing in the Age of Sovereign Defaults shows investors what's coming and what investors must do if they want to escape unscathed.
CDS Delivery Option. Better Pricing of Credit Default Swaps
Автор: David Boberski
Год издания:
For traders trying to navigate the increasingly volatile credit default swap market, CDS Delivery Option provides worked-out examples, over 30 charts, a case study of Delphi, and detailed explanations of how the subprime crisis caused the credit crisis and the near collapse of the GSEs. The book includes detailed information on: how to value a CDS contract how to value the delivery option how contract value changes when the yield curve flattens or becomes steeper how contract value changes with bullish or bearish market moves how to figure out when to buy protection and when to sell protection how to hedge CDS risk when and how to unwind a contract prior to settlement when to hold a trade through delivery how to navigate a «squeeze» (when the notional value of contracts going through delivery is larger than the supply of the cheapest-to-deliver issue) when buying contracts can make their prices go down how to construct a basis trade how to find arbitrage opportunities how to analyze default probability and corporate debt when to settle via auction and when to settle via physical delivery which note is the cheapest to deliver This book is an indispensable resource for all market professionals working in the CDS market.
Sovereign Debt. From Safety to Default
Автор: Robert Kolb W.
Год издания:
An intelligent analysis of the dangers, opportunities, and consequences of global sovereign debt Sovereign debt is growing internationally at a terrifying rate, as nations seek to prop up their collapsing economies. One only needs to look at the sovereign risk pressures faced by Greece, Spain, and Ireland to get an idea of how big this problem has become. Understanding this dilemma is now more important than ever, that's why Robert Kolb has compiled Sovereign Debt. With this book as your guide, you'll gain a better perspective on the essential issues surrounding sovereign debt and default through discussions of national defaults, systemic risk, associated costs, and much more. Historical studies are also included to provide a realistic framework of reference. Contains up-to-date research and analysis on sovereign debt from today's leading practitioners and academics Details the dangers of defaults and their associated systemic risks Explores the past, present, and future of sovereign debt The repercussions of a national default are all-encompassing as global markets are intricately interwoven in the modern world. Sovereign Debt examines what it will take to overcome the challenges of this market and how you can deal with the uncertainty surrounding it.
IP, Ethernet and MPLS Networks. Resource and Fault Management
Автор: Andre Perez
Год издания:
This book summarizes the key Quality of Service technologies deployed in telecommunications networks: Ethernet, IP, and MPLS. The QoS of the network is made up of two parts: fault and resource management. Network operation quality is among the functions to be fulfilled in order to offer QoS to the end user. It is characterized by four parameters: packet loss, delay, jitter or the variation of delay over time, and availability. Resource management employs mechanisms that enable the first three parameters to be guaranteed or optimized. Fault management aims to ensure continuity of service.