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Credit Securitisations and Derivatives
Challenges for the Global Markets

Englisch · Fester Einband

Versand in der Regel in 1 bis 3 Wochen

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Informationen zum Autor Daniel Röschis Professor of Finance and Head of the Institute of Banking and Finance at Leibniz Universität Hannover. He received a PhD from the University of Regensburg. His work covers a broad range in Banking! Asset Pricing and Empirical Finance. He has published numerous articles on Risk Management! Credit Risk! Banking! Quantitative Finance and Financial Econometrics in leading international journals. He has been conducting research projects with supervising authorities and is consulting financial institutions on risk management issues.Harald Scheule is Associate Professor of Finance at the University of Technology! Sydney. His expertise is in the area of banking! Financial Risk Measurement and Management! Insurance! Prudential Regulation! Securities Evaluation and Structured Finance. He is a regional director of the Global Association of Risk Professionals. His research work has been accepted for publication in a wide range of journals including the European Financial Management! International Review of Finance! Journal of Banking and Finance! Journal of Financial Research! Journal of the Operational Research Society and The European Journal of Finance. He has worked with prudential regulators of financial institutions and undertaken consulting work for a wide range of financial institutions and service providers in Australia! Europe and North America. Klappentext A comprehensive resource providing extensive coverage of the state of the art in credit secruritisations! derivatives! and risk managementCredit Securitisations and Derivatives is a one-stop resource presenting the very latest thinking and developments in the field of credit risk. Written by leading thinkers from academia! the industry! and the regulatory environment! the book tackles areas such as business cycles; correlation modelling and interactions between financial markets! institutions! and instruments in relation to securitisations and credit derivatives; credit portfolio risk; credit portfolio risk tranching; credit ratings for securitisations; counterparty credit risk and clearing of derivatives contracts and liquidity risk. As well as a thorough analysis of the existing models used in the industry! the book will also draw on real life cases to illustrate model performance under different parameters and the impact that using the wrong risk measures can have. Zusammenfassung A comprehensive resource providing extensive coverage of the state of the art in credit secruritisations! derivatives! and risk managementCredit Securitisations and Derivatives is a one-stop resource presenting the very latest thinking and developments in the field of credit risk. Written by leading thinkers from academia! the industry! and the regulatory environment! the book tackles areas such as business cycles; correlation modelling and interactions between financial markets! institutions! and instruments in relation to securitisations and credit derivatives; credit portfolio risk; credit portfolio risk tranching; credit ratings for securitisations; counterparty credit risk and clearing of derivatives contracts and liquidity risk. As well as a thorough analysis of the existing models used in the industry! the book will also draw on real life cases to illustrate model performance under different parameters and the impact that using the wrong risk measures can have. Inhaltsverzeichnis 103769032 ...

Produktdetails

Autoren Daniel Scheule Rosch, Daniel Rösch, Danie Rösch, Daniel R?sch, Harald Scheule, ROSCH DANIEL SCHEULE HARALD, Daniel/ Scheule Rosch, Daniel Rosch
Verlag Wiley, John and Sons Ltd
 
Inhalt Buch
Produktform Fester Einband
Erscheinungsdatum 01.12.2013
Thema Sozialwissenschaften, Recht,Wirtschaft > Wirtschaft > Betriebswirtschaft
 
EAN 9781119963967
ISBN 978-1-119-96396-7
Anzahl Seiten 462
 
Serie Wiley Finance
The Wiley Finance Series
Wiley Finance
The Wiley Finance Series
 

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