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Credit Risk

Models, Derivatives, And Management

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language: english
Publisher: TAYLOR & FRANCIS INC, May of 2008 ‧
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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. This volume focuses on the application of products in the financial services industry and the market of credit derivatives.

Credit Risk

Models, Derivatives, And Management

Property Description
ISBN: 9781584889946
Publisher: TAYLOR & FRANCIS INC
Release Date: May of 2008
Language: English
Cover: Hardcover
Pages: 598
Format: Book
Collection: Chapman And Hall/Crc Financial Mathematics Series
Categories: Books in English > Economics, Finance and Accounting > Finances
Books in English > Others
EAN: 9781584889946