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Credit Risk Management

Chia sẻ: Nguyen Bao Ngoc | Ngày: | Loại File: PDF | Số trang:285

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Credit Risk Management

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In banking, especially in risk management, portfolio management, and structured finance, solid quantitative know-how becomes more and more important. We had a two-fold intention when writing this book: First, this book is designed to help mathematicians and physicists leaving the academic world and starting a profession as risk or portfolio managers to get quick access to the world of credit risk management. Second, our book is aimed at being helpful to risk managers looking for a more quantitative approach to credit risk. ...

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