350,99 €
389,99 €
-10% with code: EXTRA
The Credit Risk of Complex Derivatives
The Credit Risk of Complex Derivatives
350,99
389,99 €
  • We will send in 10–14 business days.
This edition of The Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview of the regulatory environment and the renewed emphasis on risk Management. It then provides a comprehensive review of complex options and swaps, with extensive examples and illustrations. The text concludes with a detailed discussion of portfolio credit risk issues and techniques in order to ensure…
389.99
  • Publisher:
  • Year: 1997
  • Pages: 393
  • ISBN-10: 134914486X
  • ISBN-13: 9781349144860
  • Format: 14 x 21.6 x 2.3 cm, minkšti viršeliai
  • Language: English
  • SAVE -10% with code: EXTRA

The Credit Risk of Complex Derivatives (e-book) (used book) | bookbook.eu

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This edition of The Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview of the regulatory environment and the renewed emphasis on risk Management. It then provides a comprehensive review of complex options and swaps, with extensive examples and illustrations. The text concludes with a detailed discussion of portfolio credit risk issues and techniques in order to ensure the most effective and accurate understanding of complex derivative credit risk.

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  • Author: Erik Banks
  • Publisher:
  • Year: 1997
  • Pages: 393
  • ISBN-10: 134914486X
  • ISBN-13: 9781349144860
  • Format: 14 x 21.6 x 2.3 cm, minkšti viršeliai
  • Language: English English

This edition of The Credit Risk of Complex Derivatives is fully updated and enhanced. It discusses and analyses the credit risks of the new financial derivatives. The book commences with an overview of the regulatory environment and the renewed emphasis on risk Management. It then provides a comprehensive review of complex options and swaps, with extensive examples and illustrations. The text concludes with a detailed discussion of portfolio credit risk issues and techniques in order to ensure the most effective and accurate understanding of complex derivative credit risk.

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