Description
Eva Lutkebohmert – Concentration Risk in Credit Portfolios
Modeling and management of credit risk are the main topics within banks and other lending institutions. Historical experience shows that, in particular, concentration of risk in credit portfolios has been one of the major causes of bank distress. Therefore, concentration risk is highly relevant to anyone who wants to go beyond the very basic portfolio credit risk models.
The book gives an introduction to credit risk modeling with the aim to measure concentration risks in credit portfolios. Taking the basic principles of credit risk in general as a starting point, several industry models are studied. These allow banks to compute a probability distribution of credit losses at the portfolio level. Besides these industry models the Internal Ratings Based model, on which Basel II is based, is treated.
On the basis of these models various methods for the quantification of name and sector concentration risk and the treatment of default contagion are discussed. The book reflects current research in these areas from both an academic and a supervisory perspective
Eva Lutkebohmert, Concentration Risk in Credit Portfolios, Download Concentration Risk in Credit Portfolios, Free Concentration Risk in Credit Portfolios, Concentration Risk in Credit Portfolios Torrent, Concentration Risk in Credit Portfolios Review, Concentration Risk in Credit Portfolios Groupbuy.


Greg Gregoriou – Handbook of Short Selling
Frederic S Mishkin - A Rational Expectations Approach to Macroeconometrics
Tradetobefree - Explosive Bottoming Patterns
Mitch Anthony - Selling With Emotional Intelligence: Skills for Building Stronger Client Relationships
Benjamin Joseph - Amazon Fba Secrets 3.0
Christodoulos Floudas, Panos Pardalos – Encyclopedia of Optimization 2nd Ed
Salvatore J.Iacone – Write To The Point – How to Communicate in Business With Style and Purpose
Dr. Julia Sinnig - The Role Of Origin Of Fame In Influencer Branding
Simplertrading - The New Ready. Aim. Fire! Pro System ( Elite Package )
Carol Alexander – Market Risk Analysis Vol. III. Pricing, Hedging & Trading Financial Instruments
Peter Howells – The Economics of Money, Banking & Finance
Garrett Holmes – Launch a Brand: Building Social Media Strategy
George Pruitt, John Hill – The Ultimate Trading Guide
Securing the Future - Strategies for Exponential Growth Using the Theory of Constraints
Robert A.Haugen – The Inefficient Stock Market
ACADEMY - TRADING COURSES BUNDLE
Austin Passamonte Package ( Discount 25 % )
FOLLOWMETRADES – MASTER TRADER COURSE
Carlos M.Pelaez – The Global Recession Risk
David A.Strachman – Funds of Funds Investing
Reviews
There are no reviews yet.