Books > Business & Economics > Business & management > Management & management techniques > Management decision making
|
Buy Now
The Credit Risk of Complex Derivatives (Hardcover, 3rd ed. 2004)
Loot Price: R4,407
Discovery Miles 44 070
You Save: R742
(14%)
|
|
The Credit Risk of Complex Derivatives (Hardcover, 3rd ed. 2004)
Series: Finance and Capital Markets Series
Expected to ship within 12 - 17 working days
|
Since the publication of the 2nd edition of The Credit Risk of
Complex Derivatives in 1997, the world of derivatives has gone
through a period of dramatic change in the external operating
environment, product and market characteristic and risk management
techniques. In the light of these changes, the text has been
substantially reorganized, updated and expanded. Several new
chapters have been added including: derivative losses risk
governance and risk management efforts regulatory initiatives and
advances credit risk portfolio models Aimed at clients,
intermediaries and regulators, this new edition will be focussed
clearly on risk education, risk management and risk disclosure in
order to make participation in derivatives more secure,
transparent, efficient and beneficial. MARKET 1: Senior Managers;
Risk Managers; Compliance Managers; Consultants; Trading and Sales
Staff; Quantitative Analysts; Credit Analysts; Regulators MARKET 2:
MBA courses
General
Is the information for this product incomplete, wrong or inappropriate?
Let us know about it.
Does this product have an incorrect or missing image?
Send us a new image.
Is this product missing categories?
Add more categories.
Review This Product
No reviews yet - be the first to create one!
|
|
Email address subscribed successfully.
A activation email has been sent to you.
Please click the link in that email to activate your subscription.