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Credit risk : from transaction to portfolio management /

'Credit Risk: from transaction to portfolio management' provides high level, focused analysis of the nature of credit risk in investment bank portfolio management. Written by experienced international practitioners, it offers in-depth information and advice that will help all those charged...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Autor principal: Kimber, Andrew (Autor)
Autor Corporativo: Securities Institute
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Oxford ; Burlington, MA : Elsevier Butterworth-Heinemann, [2004]
Colección:Global capital markets series.
Temas:
Acceso en línea:Texto completo

MARC

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100 1 |a Kimber, Andrew,  |e author. 
245 1 0 |a Credit risk :  |b from transaction to portfolio management /  |c Andrew Kimber. 
264 1 |a Oxford ;  |a Burlington, MA :  |b Elsevier Butterworth-Heinemann,  |c [2004] 
264 4 |c �2004 
300 |a 1 online resource (vii, 256 pages) :  |b illustrations. 
336 |a text  |b txt  |2 rdacontent 
337 |a computer  |b c  |2 rdamedia 
338 |a online resource  |b cr  |2 rdacarrier 
490 1 |a Global capital markets series 
504 |a Includes bibliographical references and index. 
505 0 |a Fixed income credit -- The loan portfolio -- Credit derivatives -- Securitization -- The credit risk of interest rate products -- The fundamentals of credit. 
588 0 |a Print version record. 
520 |a 'Credit Risk: from transaction to portfolio management' provides high level, focused analysis of the nature of credit risk in investment bank portfolio management. Written by experienced international practitioners, it offers in-depth information and advice that will help all those charged with managing credit risk at the sharp end. Credit Risk Management strives to protect the capital and reputation of the bank while preserving its franchise and optimising long-term profitability. These goals are achieved by: * Recommending suitable credit policies and guidelines * Performing due diligence on the banks' customers * Incorporating both quanitative and qualitative analysis to balance risk and return * Providing creative advice to facilitate client transactions * Coordinating legal and operational issues * Embracing technological change to enhance bank effectiveness 'Credit Risk' provides financial institutions and their staff with everything they need to know about how to control and manage credit risk. It gives sound analysis of trading strategies and complex derivative product, offers an understanding of settlement procedures and legal issues, and shows how to accurately quantify and measure related risks. Written by professionals for professionals - authors are from two of the world's largest international investment banksIn-depth, focused informationHigh level, comprehensive analysis of the subject. 
650 0 |a Credit control. 
650 6 |a Cr�edit  |x Politique gouvernementale.  |0 (CaQQLa)201-0089795 
650 7 |a BUSINESS & ECONOMICS  |x Banks & Banking.  |2 bisacsh 
650 0 7 |a Credit control.  |2 cct 
650 7 |a Credit control  |2 fast  |0 (OCoLC)fst00882577 
710 2 |a Securities Institute. 
776 0 8 |i Print version:  |a Kimber, Andrew.  |t Credit risk.  |d Oxford ; Burlington, MA : Elsevier Butterworth-Heinemann, 2004  |z 0750656670  |w (OCoLC)52357847 
830 0 |a Global capital markets series. 
856 4 0 |u https://sciencedirect.uam.elogim.com/science/book/9780750656672  |z Texto completo