Introduction to Credit Risk
This book focuses on analysis of credit risk, derivatives, equity investments, portfolio management, quantitative methods, and risk management. In terms of application, this book can be used as an important tool to explain how to generate data rows of expected exposure to counterparty credit risk.
novembre 2020, env. 470 pages, Chapman & Hall/CRC Finance Series, Anglais
Taylor and Francis
978-0-367-47849-0
Taylor and Francis
978-0-367-47849-0
This book focuses on analysis of credit risk, derivatives, equity investments, portfolio management, quantitative methods, and risk management. In terms of application, this book can be used as an important tool to explain how to generate data rows of expected exposure to counterparty credit risk.
novembre 2020, env. 470 pages, Chapman & Hall/CRC Finance Series, Anglais
Taylor and Francis
978-0-367-47849-0
Taylor and Francis
978-0-367-47849-0
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