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Books > Business & Economics > Finance & accounting > Finance > Credit & credit institutions

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Advanced Credit Risk Analysis - Financial Approaches & Mathematical Models to Assess, Price & Manage Credit Risk (Hardcover) Loot Price: R2,893
Discovery Miles 28 930
Advanced Credit Risk Analysis - Financial Approaches & Mathematical Models to Assess, Price & Manage Credit Risk (Hardcover):...

Advanced Credit Risk Analysis - Financial Approaches & Mathematical Models to Assess, Price & Manage Credit Risk (Hardcover)

D. Cossin

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Loot Price R2,893 Discovery Miles 28 930 | Repayment Terms: R271 pm x 12*

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The assessment and effective management of credit risk is fundamental to the success of any financial institution. However, the increasing sophistication of financial instruments, many of which are over-the-counter products, has demonstrated that traditional methods of evaluation of risk are no longer adequate. Even "common practice" now requires advanced methodologies.

"...The first comprehensive and detailed compendium of credit risk models. This book is an absolute must for all the students and risk professionals who need to understand the modern foundations of credit risk management." Michel Crouhy, Risk Management, CIBC

"This is an impressive exposition of credit risk matters. Every angle is investigated: structural models, reduced-form models, credit risk of derivatives, and empirical results are all explained with verve and rigor. This book should be read by all credit specialists who care to venture beyond the obvious." Jamil Baz, Co-Head of Fixed Income Research, Lehman Brothers, Europe

"The measurement and management of credit risk has undergone a revolutionary transformation over the past few years. Advances in credit pricing and risk management models, together with the development of a sophisticated market for credit derivatives, have forced banks and investors alike to re-evaluate their entire approach to credit risk. Didier Cossin and Hugues Pirotte have delivered a timely, comprehensive and well-balanced synthesis of the concepts and models underpinning modern credit management." Guy Coughlan, Head of European Portfolio Research, J.P. Morgan

"This book has assembled the major results on the value of instruments that are subject to credit risk. The coverage is extensive. Therefore it should prove to be a useful text for both practitioners and graduate students who wish to work in this area." Professor Suresh M. Sundaresan, Chase Manhattan Bank Foundation Professor, Columbia Business School

General

Imprint: John Wiley & Sons
Country of origin: United States
Release date: November 2000
First published: December 2000
Authors: D. Cossin
Dimensions: 251 x 179 x 26mm (L x W x T)
Format: Hardcover
Pages: 372
ISBN-13: 978-0-471-98723-9
Categories: Books > Business & Economics > Finance & accounting > Finance > Credit & credit institutions
Books > Business & Economics > Business & management > Business mathematics & systems > General
Books > Money & Finance > Credit & credit institutions
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LSN: 0-471-98723-9
Barcode: 9780471987239

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