Credit-Risk Modelling

Credit-Risk Modelling

David Jamieson Bolder

124,05 €
IVA incluido
Consulta disponibilidad
Editorial:
Springer Nature B.V.
Año de edición:
2018
Materia
Gestión financiera de las sociedades
ISBN:
9783319946870

Selecciona una librería:

  • Librería Samer Atenea
  • Librería Aciertas (Toledo)
  • Kálamo Books
  • Librería Perelló (Valencia)
  • Librería Elías (Asturias)
  • Donde los libros
  • Librería Kolima (Madrid)
  • Librería Proteo (Málaga)

The risk of counterparty default in banking, insurance, institutional, and pension-fund portfolios is an area of ongoing and increasing importance for finance practitioners. It is, unfortunately, a topic with a high degree of technical complexity. Addressing this challenge, this book provides a comprehensive and attainable mathematical and statistical discussion of a broad range of existing default-risk models. Model description and derivation, however, is only part of the story. Through use of exhaustive practical examples and extensive code illustrations in the Python programming language, this work also explicitly shows the reader how these models are implemented. Bringing these complex approaches to life by combining the technical details with actual real-life Python code reduces the burden of model complexity and enhances accessibility to this decidedly specialized field of study. The entire work is also liberally supplemented with model-diagnostic, calibration, and parameter-estimation techniques to assist the quantitative analyst in day-to-day implementation as well as in mitigating model risk. Written by an active and experienced practitioner, it is an invaluable learning resource and reference text for financial-risk practitioners and an excellent source for advanced undergraduate and graduate students seeking to acquire knowledge of the key elements of this discipline.

Artículos relacionados

  • CFA 2026
    M. Imran Ahsan
    Make smart decisions and learn complete Corporate Issuers for CFA Level 1 in just one week. This book is written in simple and plain language to ensure that the students can grasp the concepts with great ease.As a university instructor for the past 15 years, I know how to make things easy and understandable. I am happy to launch this book, with which you can cover and master th...
    Disponible

    10,59 €

  • Dinheiro Do Mundo Inteiro
    Victor Thiago Porto Dos Santos
    Este livro é uma coletânea abrangente sobre moedas e cédulas de 193 países. Com fotos e detalhes minuciosos, ele apresenta a história de cada forma de dinheiro, incluindo as moedas brasileiras como os Réis, Cruzeiro, Cruzeiro Novo, Cruzado, Cruzado Novo, Cruzeiro Real e a atual moeda, o Real. Além de explorar a evolução do dinheiro no Brasil, o livro também inclui cédulas e moe...
    Disponible

    35,88 €

  • Reforma Tributária
    Osvaldo Dalla Coletta
    Reforma Tributária: o sistema tributário brasileiro atual tem mais de oitenta tributos e é muito complicado e confuso. Esta reforma tributária simplifica, racionaliza e substitui todos estes mais de oitenta tributos por apenas quatro tributos e torna a venda de serviços e a produção, a venda e o transporte de máquinas, produtos e mercadorias livres de tributação e livres de emb...
    Disponible

    6,76 €

  • Governança Corporativa: Estudos Administrativos
    Elói Martins Senhoras (organizador)
    A governança corporativa trata-se de uma agenda temática institucional que emergiu na década de 1970 a fim de garantir sistemas de comando e controle nas organizações com base em princípios, regras e práticas processuais que possibilitem a maximização de objetivos estratégicos em um contexto de manutenção de segurança jurídica, monitoramento de performance e de garantia de dire...
    Disponible

    14,04 €

  • Reformas Tributária, Administrativa E Política
    Osvaldo Dalla Coletta
    Reformas tributária, administrativa e política: substituir os atuais 92 tributos do atual sistema tributário brasileiro por um Imposto Único e preservar a receita tributária dos governos federal, distrital, estaduais e municipais. Substituir o atual sistema administrativo e político presidencialista brasileiro pelo sistema parlamentarista republicano com voto distrital puro, co...
    Disponible

    7,80 €

  • Dívidas???jamais!
    Ronaldo Nasr Tabet
    Nesta obra, oriento as pessoas a não perderem o foco dos seus gastos.Você não pode gastar mais do que ganha. Bem como comprar parcelado ou com cartão de crédito sem ter a perspectiva de ter o seu dinheiro mensalmente para tal. Compre sempre à vista!Não deixe as contas vencerem, para evitar de pagar juros e multas!Não compre sem necessidade!Procure sempre incrementar os seus ren...
    Disponible

    8,84 €

Otros libros del autor

  • Modelling Economic Capital
    David Jamieson Bolder
    How might one determine if a financial institution is taking risk in a balanced and productive manner? A powerful tool to address this question is economic capital, which is a model-based measure of the amount of equity that an entity must hold to satisfactorily offset its risk-generating activities. This book, with a particular focus on the credit-risk dimension, pragmatically...
    Disponible

    113,55 €

  • Modelling Economic Capital
    David Jamieson Bolder
    How might one determine if a financial institution is taking risk in a balanced and productive manner? A powerful tool to address this question is economic capital, which is a model-based measure of the amount of equity that an entity must hold to satisfactorily offset its risk-generating activities. This book, with a particular focus on the credit-risk dimension, pragmatically...
  • Credit-Risk Modelling
    David Jamieson Bolder
    The risk of counterparty default in banking, insurance, institutional, and pension-fund portfolios is an area of ongoing and increasing importance for finance practitioners. It is, unfortunately, a topic with a high degree of technical complexity. Addressing this challenge, this book provides a comprehensive and attainable mathematical and statistical discussion of a broad rang...
    Disponible

    82,37 €

  • Fixed-Income Portfolio Analytics
    David Jamieson Bolder
    The book offers a detailed, robust, and consistent framework for the joint consideration of portfolio exposure, risk, and performance across a wide range of underlying fixed-income instruments and risk factors. Through extensive use of practical examples, the author also highlights the necessary technical tools and the common pitfalls that arise when working in this area. Final...
    Disponible

    88,03 €

  • Fixed-Income Portfolio Analytics
    David Jamieson Bolder
    The book offers a detailed, robust, and consistent framework for the joint consideration of portfolio exposure, risk, and performance across a wide range of underlying fixed-income instruments and risk factors. Through extensive use of practical examples, the author also highlights the necessary technical tools and the common pitfalls that arise when working in this area. Final...