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Credit Risk Management

von Ji¿í Witzany und Jiří Witzany
Softcover - 9783319842448
90,94 €
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Weitere Formate

Hardcover - 9783319497990
128,39 €

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Weitere Formate

Hardcover - 9783319497990
128,39 €

Beschreibung

This book introduces to basic and advanced methods for credit risk management. It covers classical debt instruments and modern financial markets products. The author describes not only standard rating and scoring methods like Classification Trees or Logistic Regression, but also less known models that are subject of ongoing research, like e.g. Support Vector Machines, Neural Networks, or Fuzzy Inference Systems. The book also illustrates financial and commodity markets and analyzes the principles of advanced credit risk modeling techniques and credit derivatives pricing methods. Particular attention is given to the challenges of counterparty risk management, Credit Valuation Adjustment (CVA) and the related regulatory Basel III requirements.  As a conclusion, the book provides the reader with all the essential aspects of classical and modern credit risk management and modeling.

Pricing, Measurement, and Modeling

Pricing, Measurement, and Modeling

Details

Verlag Springer International Publishing
Ersterscheinung 20. Juli 2018
Maße 23.5 cm x 15.5 cm
Gewicht 417 Gramm
Format Softcover
ISBN-13 9783319842448
Auflage Softcover reprint of the original 1st ed. 2017
Seiten 256

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