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Risk
Management
MBIA
takes risk management to a level
that exceeds that of most money
management firms. This firm
has a very strong corporate
risk management oversight function
in which employees from the
insurance company (non-asset
management employees) augment
the internal risk management
structure. These employees add
an extra level of protection
for MBIA clients. As part of
its role, this oversight team
performs continuous stress test
analyses to assess risks surrounding
interest rates, liquidity and
specific securities, and to
monitor guidelines/compliance.
The team also performs routine
stress tests, evaluating duration
and convexity, among other risk
factors.
Financial
Engineering
MBIA
is a market leader in the rapidly
advancing and increasingly important
field of financial engineering.
Broadly speaking, “financial
engineering” refers to
the ability to understand, model
and manipulate the risks inherent
in various financial markets
and instruments. Over the years,
MBIA’s quantitative and
risk management skills have
been melded together, giving
the firm the ability to customize
levels of risk and return that
few other firms can duplicate.
These skills not only allow
MBIA to be a market leader in
some of the most advanced product
areas such as collateralized
debt obligations (CDOs), structured
investment vehicles (SIVs),
and asset liability management
(also referred to as “liability-driven
investing”), but they
allow MBIA the luxury of being
able to tailor custom-designed
solutions for its clients. As
mentioned above, one of MBIA’s
main objectives is to truly
understand its clients’
risk tolerances. Once MBIA understands
these risk tolerances, it can
apply its unique ability to
manipulate and manage risk through
engineering so as to maximize
return within the clients’
risk levels.
Credit
Analysis
Based
on it's belief that expert staff
support is one of the keys to
asset management success, MBIA
makes a wealth of analytical
and credit resources available
to portfolio manager. The investment
management team benefits from
the work of seven dedicated
analysts and 130 taxable and
municipal bond analysts employed
by MBIA Insurance Corporation.
MBIA’s research analysts
are organized by sector and
by geographic region. Most of
the research used in the investment
management of MBIA portfolios
is completed internally (proprietary
research); however, internal
research is supplemented with
research from Wall Street firms
as well as independent research
organizations.
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Contacts
United States:
Jonathan Moll
Managing Director
+1-914-273-3398
Jonathan Moll
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Copyright ©2007 MBIA INC. |
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