Introduction to Credit Risk
Von:
Carlone, GiulioThis 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.
November 2020, ca. 470 Seiten, Chapman & Hall/CRC Finance Series, Englisch
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.
November 2020, ca. 470 Seiten, Chapman & Hall/CRC Finance Series, Englisch
Taylor and Francis
978-0-367-47849-0
Taylor and Francis
978-0-367-47849-0
Weitere Titel der Reihe: Chapman & Hall/CRC Finance Series
Alle anzeigenQuantitative Operational Risk Models
Taylor and Francis, 2023
978-1-03-247757-2
ca. 80.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Emerging Markets
Performance, Analysis and Innovation
Taylor and Francis, 2017
978-1-138-11798-3
ca. 130.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Operational Risk Modelling and Management
Taylor and Francis, 2017
978-1-138-11651-1
ca. 130.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Stock Market Volatility
Taylor and Francis, 2017
978-1-138-11516-3
ca. 130.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Quantitative Operational Risk Models
Taylor and Francis, 2012
978-1-4398-9592-4
ca. 170.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Handbook of Solvency for Actuaries and Risk Managers
Theory and Practice
Taylor and Francis, 2010
978-1-4398-2130-5
ca. 370.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Operational Risk Modelling and Management
Taylor and Francis, 2010
978-1-4398-4476-2
ca. 346.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Pension Fund Risk Management
Financial and Actuarial Modeling
Taylor and Francis, 2010
978-1-4398-1752-0
ca. 316.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Emerging Markets
Performance, Analysis and Innovation
Taylor and Francis, 2009
978-1-4398-0448-3
ca. 346.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Decision Options
The Art and Science of Making Decisions
Taylor and Francis, 2009
978-1-4200-8682-9
ca. 196.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Stock Market Volatility
Taylor and Francis, 2009
978-1-4200-9954-6
ca. 346.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Weitere Titel zum Thema
How to Build an End to End Business Continuity Program
Taylor and Francis, 2026
978-1-4987-9712-2
ca. 85.00 CHF
erscheint im März
Marketing Metrics
Leverage Analytics, Data and AI to Optimize Marketing Strategies
Kogan Page, 2027
978-1-3986-3041-3
ca. 55.90 CHF
erscheint im Januar
Holistic Management
A Strategic Framework for Industry 5.0
Taylor and Francis, 2026
978-1-041-14911-8
ca. 250.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Your Life Needs a Strategy
How to Increase Your Odds of Doing Extraordinary Things
Ingram Publishers Services, 2027
979-8-89279-325-4
ca. 43.50 CHF
erscheint im Februar
The Predictive Enterprise
How Superhuman Supply Chains Transform Global Business
Wiley, 2026
978-1-394-37051-1
ca. 47.90 CHF
erscheint im April
Technology-Driven Innovation for Project Management
How to Drive Performance and Productivity Improvement
Taylor and Francis, 2026
978-0-8153-8507-3
ca. 75.00 CHF
erscheint im März
Marketing Metrics
Leverage Analytics, Data and AI to Optimize Marketing Strategies
Kogan Page, 2027
978-1-3986-3043-7
ca. 95.00 CHF
erscheint im Januar
The Corporation A Very Short Introduction
Oxford Academic, 2026
978-0-19-285913-6
ca. 16.50 CHF
erscheint im August
Principles of Fintech
Financial Technology, Business Models and Strategic Innovation
Kogan Page, 2027
978-1-3986-2911-0
ca. 75.00 CHF
erscheint im Januar
Who Speaks for the Customer?
Improving Results with a Customer-Centered Framework
Taylor and Francis, 2026
978-1-041-02877-2
ca. 66.00 CHF
lieferbar in ca. 10-20 Arbeitstagen
Principles of Fintech
Financial Technology, Business Models and Strategic Innovation
Kogan Page, 2027
978-1-3986-2913-4
ca. 125.00 CHF
erscheint im Januar
Innovation Decision-Making Under Uncertain Environment
Taylor and Francis, 2026
978-1-041-30651-1
ca. 249.00 CHF
erscheint im Juni

