Managing Credit Risk
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Managing Credit Risk
The Next Great Financial Challenge
Altman, Edward; Caouette, John B.; Narayanan, Paul
John Wiley and Sons Ltd
10/1998
464
Dura
Inglês
9780471111894
0471111899
15 a 20 dias
765
Credit is the expectation of a sum of money within some limited time, and credit risk is the chance that expectation will not be met. Credit risk is the oldest risk in the financial markets, yet it has not traditionally received the same expert's attention as that of its more recent counterpart, market risk.
Credit Risk: The Next Great Challenge of the Financial Markets.; Credit Culture.; Classic Industry Players--Banks, Finance Companies, Insurance Companies, Industrial Companies.; Portfolio Managers--Investment Managers Unit Trusts, Mutual Funds, Pension Funds.; Structural Hubs--Derivative Dealers, Clearinghouses, and Exchanges.; Rating Agencies.; Classic Credit Analysis.; Asset--Based Lending.; Introduction to Credit Risk Models.; Credit Risk Models Based on Accounting Data and Market Values.; Corporate Credit Risk Models Based on Stock Price.; Consumer Finance Models.; Credit Models for Small Business, Real Estate, and Financial Institutions.; Model Testing and Implementation of Credit Risk Models.; Default Rates, Losses, and Recoveries.; Credit Risk Migration.; Introduction to Portfolio Approaches.; Credit Pricing, Risk--Adjusted Return, and Allocation of Capital.; Applications of Portfolio Approaches.; Credit Derivatives.; Credit Risk of Derivatives.; Country Risk Models.; Structured Finance.; A New World Driven by Analytics and Diversifying Agents.; The Rediscovery of Culture as a Primary Management Tool.; Appendix.; Index.
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Credit is the expectation of a sum of money within some limited time, and credit risk is the chance that expectation will not be met. Credit risk is the oldest risk in the financial markets, yet it has not traditionally received the same expert's attention as that of its more recent counterpart, market risk.
Credit Risk: The Next Great Challenge of the Financial Markets.; Credit Culture.; Classic Industry Players--Banks, Finance Companies, Insurance Companies, Industrial Companies.; Portfolio Managers--Investment Managers Unit Trusts, Mutual Funds, Pension Funds.; Structural Hubs--Derivative Dealers, Clearinghouses, and Exchanges.; Rating Agencies.; Classic Credit Analysis.; Asset--Based Lending.; Introduction to Credit Risk Models.; Credit Risk Models Based on Accounting Data and Market Values.; Corporate Credit Risk Models Based on Stock Price.; Consumer Finance Models.; Credit Models for Small Business, Real Estate, and Financial Institutions.; Model Testing and Implementation of Credit Risk Models.; Default Rates, Losses, and Recoveries.; Credit Risk Migration.; Introduction to Portfolio Approaches.; Credit Pricing, Risk--Adjusted Return, and Allocation of Capital.; Applications of Portfolio Approaches.; Credit Derivatives.; Credit Risk of Derivatives.; Country Risk Models.; Structured Finance.; A New World Driven by Analytics and Diversifying Agents.; The Rediscovery of Culture as a Primary Management Tool.; Appendix.; Index.
Este título pertence ao(s) assunto(s) indicados(s). Para ver outros títulos clique no assunto desejado.