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Risk Management in Credit Portfolios

Risk Management in Credit Portfolios

von Martin Hibbeln
Softcover - 9783790828269
106,99 €
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Beschreibung

Risk concentrations play a crucial role for the survival of individual banks and for the stability of the whole banking system. Thus, it is important from an economical and a regulatory perspective to properly measure and manage these concentrations. In this book, the impact of credit concentrations on portfolio risk is analyzed for different portfolio types and it is determined, in which cases the influence of concentration risk has to be taken into account. Furthermore, some models for the measurement of concentration risk are modified to be consistent with Basel II and their performance is compared. Beyond that, this book integrates economical and regulatory aspects of concentration risk and seeks to provide a systematic way to get familiar with the topic of concentration risk from the basics of credit risk modeling to present research in the measurement and management of credit risk concentrations.

Concentration Risk and Basel II

Details

Verlag Physica
Ersterscheinung 06. November 2012
Maße 23.5 cm x 15.5 cm
Gewicht 411 Gramm
Format Softcover
ISBN-13 9783790828269
Seiten 248

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