The Credit Risk of Complex Derivatives: Third Edition (Finance and Capital Markets)
معرفی کتاب «The Credit Risk of Complex Derivatives: Third Edition (Finance and Capital Markets)» نوشتهٔ Erik Banks، منتشرشده توسط نشر Palgrave Macmillan UK Imprint: Palgrave Macmillan در سال 2004. این کتاب در 2 صفحه، فرمت pdf، زبان انگلیسی ارائه شده است.
Since the publication of the 2nd edition of The Credit Risk of Complex Derivatives in 1997, the world of derivatives has gone through a period of dramatic change - in the external operating environment, product and market characteristic and risk management techniques. In the light of these changes, the text has been substantially reorganized, updated and expanded. Several new chapters have been added including: ⢠Derivative Losses ⢠Risk Governance and Risk Management ⢠Regulatory Initiatives and Advances ⢠credit risk portfolio models. Aimed at clients, intermediaries and regulators, this new edition will be focussed clearly on risk education, risk management and risk disclosure in order to make participation in derivatives more secure, transparent, efficient and beneficial. Since the publication of the second edition of The Credit Risk of Complex Derivatives in 1997, the world of derivatives has gone through a period of dramatic change - in the external operating environment, product and market characteristic and risk management techniques. In the light of these changes, the text has been substantially reorganized, updated and expanded. Several new chapters have been added including: • Derivative losses • Risk governance and risk management efforts • Regulatory initiatives and advances • Credit risk portfolio models Aimed at clients, intermediaries and regulators, this edition will be focused clearly on risk education, risk management and risk disclosure in order to make participation in derivatives more secure, transparent, efficient and beneficial. Since the publication of the second edition of The Credit Risk of Complex Derivatives in 1997, the world of derivatives has gone through a period of dramatic change -- in the external operating environment, product and market characteristics and risk management techniques. In the light of these changes, the text has been substantially reorganized, updated and expanded. Aimed at clients, intermediaries and regulators, this edition is focussed clearly on risk education, risk management and risk disclosure in order to make participation in derivatives more secure, transparent, efficient and beneficial.
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