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The Credit Risk of Complex Derivatives

Parametry

Počet stran
556 stránek
Čas čtení
20 hodin

Více o knize

The updated edition addresses significant changes in the derivatives landscape since 1997, including shifts in the operating environment, product characteristics, and risk management techniques. It features new chapters on derivative losses, risk governance, regulatory initiatives, and credit risk portfolio models. Targeting clients, intermediaries, and regulators, the book emphasizes risk education, management, and disclosure, aiming to enhance the security, transparency, efficiency, and benefits of participating in derivatives.

Vydání

Nákup knihy

The Credit Risk of Complex Derivatives, Erik Banks, Erik Banks

Jazyk
Rok vydání
2004
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