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Risk Management in Credit Portfolios
Tallenna

Risk Management in Credit Portfolios

Kirjailija:
sidottu, 2010
englanti
Beyond that, this book integrates economical and regulatory aspects of concentration risk and seeks to provide a systematic way to get familiar with the topic of concentration risk from the basics of credit risk modeling to present research in the measurement and management of credit risk concentrations.
Alaotsikko
Concentration Risk and Basel II
Kirjailija
Martin Hibbeln
Painos
2010 ed.
ISBN
9783790826067
Kieli
englanti
Paino
446 grammaa
Julkaisupäivä
18.9.2010
Sivumäärä
248