|
The handbook of credit portfolio management
|
Greg N. Gregoriou |
As the credit bubble fallout plagues the institutional finance sector - and will continue to do so in coming years - a strategic approach to credit portfolio management has never been more critical. … |
OL11946337W |
|
Advances in Credit Risk Modelling and Corporate Bankruptcy Prediction
|
Stewart Jones |
The field of credit risk and corporate bankruptcy prediction has gained considerable momentum following the collapse of many large corporations around the world, and more recently through the sub-pri… |
OL15186303W |
|
Fool's gold
|
Gillian Tett |
Award-winning journalist and social anthropologist Gillian Tett takes us inside the shadowy world of complex finance and derivatives and explains how the business of slicing and dicing debt led us to… |
OL15712259W |
|
The road out of debt
|
Joan N. Feeney |
"A practical guide to getting out of debt and understanding the option of personal bankruptcyThe current credit and financial crises have prompted Joan Feeney, a preeminent Massachusetts Bankruptcy J… |
OL16010189W |
|
Credit risk
|
Darrell Duffie |
"In this book, two of America's leading economists provide the first integrated treatment of the conceptual, practical, and empirical foundations for credit risk pricing and risk measurement. Masterf… |
OL16964230W |
|
Credit risk pricing models
|
Bernd Schmid |
Credit Risk Pricing Models - now in its second edition - gives a deep insight into the latest basic and advanced credit risk modelling techniques covering not only the standard structural, reduced fo… |
OL19838542W |
|
CreditRisk+ in the Banking Industry
|
Matthias Gundlach |
CreditRisk+ is an important and widely implemented default-mode model of portfolio credit risk, based on a methodology borrowed from actuarial mathematics. This book gives an account of the status qu… |
OL19838543W |
|
Credit Risk Scorecards
|
Naeem Siddiqi |
Praise for Credit Risk Scorecards "Scorecard development is important to retail financial services in terms of credit risk management, Basel II compliance, and marketing of credit products. Credit … |
OL8232297W |
|
Credit Derivatives
|
Gunter Meissner |
The market for credit derivatives--financial instruments designed to transfer credit risk from one party to another--has grown exponentially in recent years, with volume expected to reach more than $… |
OL8719271W |
|
Credit Risk
|
Niklas Wagner |
This volume illustrates how a risk management system can be implemented through an understanding of portfolio credit risks, a set of suitable models, and the derivation of reliable empirical results.… |
OL9889214W |