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Modern Credit Risk Management

Theory and Practice

Produktform: E-Buch Text Elektronisches Buch in proprietärem

not only discusses credit risk from a quantitative angle but further explains how important the qualitative and legal assessment is. Credit risk transfer and mitigation techniques and tools are explained, as are netting, ISDA master agreements, centralised counterparty clearing, margin collateral, overcollateralization, covenants and events of default. Credit derivatives are also explained, as are Total Return Swaps (TRS), Credit Linked Notes (CLN) and Credit Default Swaps (CDS). Furthermore, the author discusses what we have learned from the financial crisis of 2007 and sovereign crisis of 2010 and how credit risk management has evolved. Finally the book examines the new regulatory environment, looking beyond Basel to the European Union (EU) Capital Requirements Regulation and Directive (CRR-CRD) IV, the Dodd–Frank Wall Street Reform and Consumer Protection Act.    weiterlesen

Elektronisches Format: PDF

Sprache(n): Englisch

ISBN: 978-1-137-52407-2 / 978-1137524072 / 9781137524072

Verlag: Palgrave Macmillan UK

Erscheinungsdatum: 08.02.2017

Seiten: 234

Autor(en): Panayiota Koulafetis

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