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Managing Portfolio Credit Risk in Banks

applied to measuring and managing portfolio credit risk in the emerging market in India. It also provides deep insights into various nuances;

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Advances in Financial Risk Management

-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit;

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Advances in Financial Risk Management

-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit;

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Credit Portfolio Management

A cutting-edge text on credit portfolio management Credit risk. A number of market factors are causing revolutionary changes in the way;

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Managing Credit Risk in Corporate Bond Portfolios

, default and credit migration risk, Monte Carlo simulation techniques, and portfolio selection methods. Srichander Ramaswamy, PhD (Basel;

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Credit Risk: From Transaction to Portfolio Management

Credit Risk: from transaction to portfolio management provides high level, focused analysis of the nature of credit risk in investment;

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Credit Engineering for Bankers

data into a portfolio framework that treats all instruments similarly. Banks that can implement strategies for uncovering credit risk;

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Active Credit Portfolio Management

, which exceeds EUR 350bn with respect to outstanding corporate bonds. As a result, credit risk trading and credit portfolio management gained;

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The Credit Risk of Complex Derivatives

detailed discussion of portfolio credit risk issues and techniques in order to ensure the most effective and accurate understanding of complex;

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Managing Risks in Commercial and Retail Banking

credit, market, and operational and the non-financial risks money laundering, information technology, business strategy, legal, and reputational;

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The Handbook of Credit Risk Management - Originating, Assessing, and Managing Credit Exposures, Second Edition

Discover an accessible and comprehensive overview of credit risk management In the newly revised Second Edition of The Handbook;

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Modeling Credit Risk and Pricing Credit Derivatives

Inhaltsangabe: Abstract: Banks are financial intermediaries originating loans and consequently facing credit risk. Credit risk can be;

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Credit Insurance and Risk Mitigation

Over the last years, the use of credit insurance has become even more vital since it also helped financial institutions reduce their risk;

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Rating Based Modeling of Credit Risk

portfolio or the prices of credit derivatives such as collateralized debt obligations (D+CDOs). In Rating Based Modeling of Credit Risk the authors;

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Emerging Market Bank Lending and Credit Risk Control

bank credit risk issues peculiar to emerging economiesExplains how to attain asset and portfolio quality through efficient lending and;

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The Credit Risk of Complex Derivatives

losses * Risk governance and risk management efforts * Regulatory initiatives and advances * Credit risk portfolio models Aimed at clients;

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The Implications of the New Capital Adeqaucy Framework for Credit Risk and Capital Management in the Banking Industry

banks' core risks: credit risk. Before analysing the implications on specific credit risk instruments, the thesis will describe the relevant;

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Contributions to Credit Portfolio Modeling and Optimization

portfolio risk modeling in three ways. First, it introduces a general credit portfolio modeling concept that comprises specific credit risk;

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Quantitative Credit Portfolio Management

An innovative approach to post-crash credit portfolio management Credit portfolio managers traditionally rely on fundamental research for;

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Credit Portfolio Management: A Practitioner's Guide to the Active Management of Credit Risks

Credit Portfolio Management is a topical text on approaches to the active management of credit risks. The book is a valuable, up to date;

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Counterparty Risk and Funding

Solve the DVA/FVA Overlap Issue and Effectively Manage Portfolio Credit Risk Counterparty Risk and Funding: A Tale of Two Puzzles;

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Counterparty Risk and Funding

Solve the DVA/FVA Overlap Issue and Effectively Manage Portfolio Credit Risk Counterparty Risk and Funding: A Tale of Two Puzzles;

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Credit Derivatives

The credit risk market is the fastest growing financial market in the world, attracting everyone from hedge funds to banks and insurance;

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Credit Derivatives

. Credit derivatives are bilateral financial contracts that seek to transfer defined credit risks in a credit product or bunch of credit products;

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Bank Bail-outs and Loan Portfolio Risk

-out expectations on the loan portfolio risk of Chinese banks. After developing the theoretical case for a hard budget constraint imposed on a;

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Credit Risk, Macroeconomic and Bank Specific Factors

study presents comprehensive analysis of overall risk level, market risk and how selected variables affect credit risk in the Jordanian banks;

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Quantitative Management of Bond Portfolios

managers, plan sponsors, research analysts, risk managers, academics, students, and anyone interested in bond portfolio management. The book;

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