Managing credit risk : The great challenge for global financial markets
| Other Authors: | Caouette, John B. |
|---|---|
| Format: | Book |
| Published: |
New Jersey :
John Wiley & Sons, Inc. ,
2008
|
| Series: | Second edition
|
| Subjects: |
Similar Items
Hedging instruments and risk management
by: Cusatis, Patrick
Published: (2005)
by: Cusatis, Patrick
Published: (2005)
Credit derivatives and credit linked notes
Published: (2000)
Published: (2000)
The credit derivatives handbook : global perspectives, innovations, and market drivers
Published: (2008)
Published: (2008)
Global derivatives : a strategic risk management perspective
by: Andersen, Torben Juul
Published: (2006)
by: Andersen, Torben Juul
Published: (2006)
Advanced derivates pricing and risk management : theory, tools and hands-on programming application
by: Albanese, Claudio
Published: (2006)
by: Albanese, Claudio
Published: (2006)
Managing credit risk in corporate bond portfolios : a practitioner's guide
by: Ramaswamy, Srichander
Published: (2004)
by: Ramaswamy, Srichander
Published: (2004)
Credit risk management : A guide to sound business decisions
by: Schaeffer, H.A
Published: (2000)
by: Schaeffer, H.A
Published: (2000)
Credit risk modeling : design and application
Published: (1998)
Published: (1998)
Counterparty credit risk, collateral and funding : with pricing cases for all asset classes
by: Brigo, Damiano 1966-
Published: (2013)
by: Brigo, Damiano 1966-
Published: (2013)
Credit risk analysis : a tryst with strategic prudence
by: Joseph, Ciby
Published: (2006)
by: Joseph, Ciby
Published: (2006)
Frontiers in credit risk : concepts and techniques for applied credit risk measurement
Published: (2003)
Published: (2003)
Credit risk management and the basel accords
by: Van Deventer, Donald
Published: (2003)
by: Van Deventer, Donald
Published: (2003)
Quantitative methods in derivatives pricing : an introduction to computational finance
by: Tavella, Domingo
Published: (2002)
by: Tavella, Domingo
Published: (2002)
Introduction to derivative financial instruments : options,futures,forwards,swaps and hedging
by: Chorafas, Dimitris N
Published: (2008)
by: Chorafas, Dimitris N
Published: (2008)
Global credit management : an executive summary
by: Wells, Ron
Published: (2003)
by: Wells, Ron
Published: (2003)
Clearing and settlement of derivatives
by: Loader, David
Published: (2005)
by: Loader, David
Published: (2005)
Managing credit : how to master the basic skills of credit control
by: Hedges, Roy
Published: (2005)
by: Hedges, Roy
Published: (2005)
Managing credit
by: Shaw, Adam
Published: (2003)
by: Shaw, Adam
Published: (2003)
CFDs made simple : a straightforward guide to contracts for difference
by: Temple, Peter
Published: (2009)
by: Temple, Peter
Published: (2009)
Risk management in banking
by: Bessis, Joel
Published: (1998)
by: Bessis, Joel
Published: (1998)
Derivatives : a manager's guide to the world's most powerful financial instruments
by: Johnson, Philip McBride
Published: (1999)
by: Johnson, Philip McBride
Published: (1999)
Credit portfolio management
by: Smithson, Charles
Published: (2003)
by: Smithson, Charles
Published: (2003)
The shadow money lenders and the global financial tsunami
by: Chang's, Matthias
Published: (2008)
by: Chang's, Matthias
Published: (2008)
Over-the-counter derivative products : a guide to business and legal risk management and documentation
by: McLaughlin, Robert M.
Published: (1999)
by: McLaughlin, Robert M.
Published: (1999)
Isu kontemporari pengurusan risiko enterprais perniagaan
Published: (2018)
Published: (2018)
Successful credit control
by: Posner, Martin
Published: (1998)
by: Posner, Martin
Published: (1998)
Successful credit control in a week
by: Mason, Roger
Published: (2002)
by: Mason, Roger
Published: (2002)
Implementing derivatives models
by: Clewlow, Les
Published: (1998)
by: Clewlow, Les
Published: (1998)
Swaps and other derivatives
by: Flavell, Richard
Published: (2002)
by: Flavell, Richard
Published: (2002)
Documentary credits (Letters of Credit) and collection for the export and import trade
by: Pang, Johnson Yok
Published: (1992)
by: Pang, Johnson Yok
Published: (1992)
Financial risk management : a practitioner's guide to managing market and credit risk
by: Allen, Steven
Published: (2003)
by: Allen, Steven
Published: (2003)
Credit card stress busters
by: Tait, Allison
Published: (2009)
by: Tait, Allison
Published: (2009)
The New basel capital accord
by: Gup, Benton E.
Published: (2004)
by: Gup, Benton E.
Published: (2004)
The risk of trading
by: Toma, Michael
Published: (2012)
by: Toma, Michael
Published: (2012)
The Best of Wilmott : incorporating the quantitative finance review
Published: (2004)
Published: (2004)
Derivative instruments : a guide to theory and practice
by: Eales, Brian A.
Published: (2003)
by: Eales, Brian A.
Published: (2003)
Credit analysis : How to measure and manage creadit risk
by: Coleshaw, John
Published: (1989)
by: Coleshaw, John
Published: (1989)
Understanding financial risk management
by: Corelli, Angelo
Published: (2019)
by: Corelli, Angelo
Published: (2019)
Value added risk management in financial institution : Leveraging base II & risk adjusted performance measurement
by: Belmont, David P.
Published: (2004)
by: Belmont, David P.
Published: (2004)
Risk management
by: Crouhy, Michel
Published: (2001)
by: Crouhy, Michel
Published: (2001)
Similar Items
-
Hedging instruments and risk management
by: Cusatis, Patrick
Published: (2005) -
Credit derivatives and credit linked notes
Published: (2000) -
The credit derivatives handbook : global perspectives, innovations, and market drivers
Published: (2008) -
Global derivatives : a strategic risk management perspective
by: Andersen, Torben Juul
Published: (2006) -
Advanced derivates pricing and risk management : theory, tools and hands-on programming application
by: Albanese, Claudio
Published: (2006)