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Credit Risk Management

Af: Hong Kong Institute of Bankers Engelsk Paperback

Credit Risk Management

Af: Hong Kong Institute of Bankers Engelsk Paperback
Tjek vores konkurrenters priser
The importance of managing credit and credit risks carefully and appropriately cannot be overestimated. The very success or failure of a bank and the banking industry in general may well depend on how credit risk is handled. Banking professionals must be fully versed in the risks associated with credit operations and how to manage those risks. This up-to-date volume is an invaluable reference and study tool that delves deep into issues associated with credit risk management. Credit Risk Management from the Hong Kong Institute of Bankers (HKIB)discusses the various ways through which banks manage risks. Essential for candidates studying for the HKIB Associateship Examination, it can also help those who want to acquire a deeper understanding of how and why banks make decisions and set up processes that lower their risk. Topics covered in this book include: Active credit portfolio managementRisk management, pricing, and capital adequacyCapital requirements for banksApproaches to credit risk managementStructural models and probability of defaultTechniques to determine loss given defaultDerivatives and structured products
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The importance of managing credit and credit risks carefully and appropriately cannot be overestimated. The very success or failure of a bank and the banking industry in general may well depend on how credit risk is handled. Banking professionals must be fully versed in the risks associated with credit operations and how to manage those risks. This up-to-date volume is an invaluable reference and study tool that delves deep into issues associated with credit risk management. Credit Risk Management from the Hong Kong Institute of Bankers (HKIB)discusses the various ways through which banks manage risks. Essential for candidates studying for the HKIB Associateship Examination, it can also help those who want to acquire a deeper understanding of how and why banks make decisions and set up processes that lower their risk. Topics covered in this book include: Active credit portfolio managementRisk management, pricing, and capital adequacyCapital requirements for banksApproaches to credit risk managementStructural models and probability of defaultTechniques to determine loss given defaultDerivatives and structured products
Produktdetaljer
Sprog: Engelsk
Sider: 528
ISBN-13: 9780470827499
Indbinding: Paperback
Udgave:
ISBN-10: 0470827491
Kategori: Bankvirksomhed
Udg. Dato: 8 nov 2013
Længde: 29mm
Bredde: 179mm
Højde: 243mm
Forlag: John Wiley & Sons Inc
Oplagsdato: 8 nov 2013
Forfatter(e) Hong Kong Institute of Bankers


Kategori Bankvirksomhed


ISBN-13 9780470827499


Sprog Engelsk


Indbinding Paperback


Sider 528


Udgave


Længde 29mm


Bredde 179mm


Højde 243mm


Udg. Dato 8 nov 2013


Oplagsdato 8 nov 2013


Forlag John Wiley & Sons Inc

Kategori sammenhænge