This book has been fully updated and revised to take account of all the changes in the rapidly evolving market for syndicated credits.
本书分为三章,主要内容包括:国际准则与中国绿色信贷政策,中国银行业环境表现综述,中国银行业环境表现分论.
在本书中,作者探讨了所有最新的信用风险计量模型的技巧,同时检验了这些模型对于个人贷款和组合的信用风险评价,以及运用衍生品合约去管理信用风险的方式.其他模型包括 ...
本书包括:何以需要信用风险度量和管理的新方法、信用风险度量的传统方法、作为期权诉贷款和KMV模型等内容。
The new Syndicated Lending 5th Edition contains a new corporate acquisition case study, complete update and revised information to take account of all the changes in the rapidly evolving market for syndicated credits
Private Bank Lending and Developing-country Debt
It could take a decade for the full implications of this book to be absorbed but this much is clear: all serious students of these subject matters will have to master this treatise.
Managing Credit Risk
This book is developed for teaching a one semester course in credit risk management at undergraduate and MBA levels as the first course in financial risk management.
This book describes components necessary for creating robust and effective models for portfolio performance diagnostics, forecasting, stress testing and economic capital.These concepts are also extended to account-level scoring to show how ...