Credit Risk: From Transaction to Portfolio Management: Securities Institute Global Capital Markets
Autor Andrew Kimberen Limba Engleză Hardback – 16 noi 2003
- Recommending suitable credit policies and guidelines
- Performing due diligence on the banks' customers
- Incorporating both quanitative and qualitative analysis to balance risk and return
- Providing creative advice to facilitate client transactions
- Coordinating legal and operational issues
- Embracing technological change to enhance bank effectiveness
- Written by professionals for professionals - authors are from two of the world's largest international investment banksIn-depth, focused informationHigh level, comprehensive analysis of the subject
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Specificații
ISBN-13: 9780750656672
ISBN-10: 0750656670
Pagini: 272
Dimensiuni: 165 x 234 x 23 mm
Greutate: 0.56 kg
Editura: ELSEVIER SCIENCE
Seria Securities Institute Global Capital Markets
ISBN-10: 0750656670
Pagini: 272
Dimensiuni: 165 x 234 x 23 mm
Greutate: 0.56 kg
Editura: ELSEVIER SCIENCE
Seria Securities Institute Global Capital Markets
Public țintă
Credit Analysts, Credit Risk Measurement Specialists, Credit Portfolio Managers, Investment Fund Managers, Equity and Fixed Income Traders, Investment Bankers.Cuprins
Fixed Income CreditThe Loan PortfolioCredit DerivativesSecuritisationThe Credit Risk of Interest Rate ProductsThe Fundamentals of Credit