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- кредитные риски
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Связанные описания:

Книга
Felsenheimer, j.
Active credit portfolio management: a practical guide to credit risk management strategies
Wiley-VCH, 2006 г.
ISBN 3-527-50198-3
Felsenheimer, j.
Active credit portfolio management: a practical guide to credit risk management strategies
Wiley-VCH, 2006 г.
ISBN 3-527-50198-3
Книга
Hagenstein, F.
Active fixed income and credit management
ISBN 0-333-99368-3
Hagenstein, F.
Active fixed income and credit management
Серия: Finance and capital markets
PALGRAVE, 2002 г.ISBN 0-333-99368-3
Книга
Advances in credit risk modelling and corporate bankruptcy prediction
Cambridge University Press, 2008 г.
ISBN 978-0-521-68954-0
Advances in credit risk modelling and corporate bankruptcy prediction
Cambridge University Press, 2008 г.
ISBN 978-0-521-68954-0
Электронные книги
Jones, S.
Advances in credit risk modelling and corporate bankruptcy prediction
Cambridge University Press, 2008 г.
ISBN 9780511428395
Jones, S.
Advances in credit risk modelling and corporate bankruptcy prediction
Cambridge University Press, 2008 г.
ISBN 9780511428395
Книга
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
ISBN 0-470-85745-5
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-85745-5
Книга
Semmler, W.
Asset prices, booms and recessions: financial economics from a dynamic perspective
Springer-Verlag, 2011 г.
ISBN 978-3-642-20679-5
Semmler, W.
Asset prices, booms and recessions: financial economics from a dynamic perspective
Springer-Verlag, 2011 г.
ISBN 978-3-642-20679-5
Книга
Semmler, W.
Asset prices, booms and recessions: financial market, economic activity and the macroeconomy
Springer-Verlag, 2003 г.
ISBN 3-540-00432-7
Semmler, W.
Asset prices, booms and recessions: financial market, economic activity and the macroeconomy
Springer-Verlag, 2003 г.
ISBN 3-540-00432-7
Электронные книги
Mann, R. J.
Charging ahead: the growth and regulation of payment card markets
Cambridge University Press, 2006 г.
ISBN 9780511244971
Mann, R. J.
Charging ahead: the growth and regulation of payment card markets
Cambridge University Press, 2006 г.
ISBN 9780511244971
Книга
Vandone, D.
Consumer credit in Europe: risks and opportunities of a dynamic industry
ISBN 978-3-7908-2100-0
Vandone, D.
Consumer credit in Europe: risks and opportunities of a dynamic industry
Серия: Contributions to economics
Physica-Verlag, 2009 г.ISBN 978-3-7908-2100-0
Книга
Gregory, J.
Counterparty credit risk and credit value adjustment: a continuing challenge for global financial markets
John Wiley & Sons, 2012 г.
ISBN 978-1-11-831667-2
Gregory, J.
Counterparty credit risk and credit value adjustment: a continuing challenge for global financial markets
John Wiley & Sons, 2012 г.
ISBN 978-1-11-831667-2
Книга
Chaplin, G.
Credit derivatives: risk management, trading & investing
ISBN 0-470-02416-X
Chaplin, G.
Credit derivatives: risk management, trading & investing
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-02416-X
Книга
Das, S.
Credit derivatives and credit linked notes
ISBN 0-471-84031-9
Das, S.
Credit derivatives and credit linked notes
Серия: Wiley frontiers in finance
John Wiley & Sons, 2000 г.ISBN 0-471-84031-9
Книга
Bruyere, R.
Credit derivatives and structured credit: a guide for investors
ISBN 0-470-01879-8
Bruyere, R.
Credit derivatives and structured credit: a guide for investors
Серия: Wiley finance series
John Wiley & Sons, 2006 г.ISBN 0-470-01879-8
Книга
Bielecki, T. R.
Credit risk: modeling, valuation and hedging
ISBN 3-540-67593-0
Bielecki, T. R.
Credit risk: modeling, valuation and hedging
Серия: Springer finance
Springer-Verlag, 2004 г.ISBN 3-540-67593-0
Книга
Duffie, D.
Credit risk: pricing, measurement, and management
ISBN 0-691-09046-7
Duffie, D.
Credit risk: pricing, measurement, and management
Серия: Princeton series in finance
Princeton University Press, 2003 г.ISBN 0-691-09046-7
Книга
Credit risk: measurement, evaluation and management
ISBN 3-7908-0054-6
Credit risk: measurement, evaluation and management
Серия: Contributions to economics
Physica-Verlag, 2003 г.ISBN 3-7908-0054-6
Книга
Gestel van, T.
Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital
Oxford University Press, 2009 г.
ISBN 978-0-19-954511-7
Gestel van, T.
Credit risk management: basic concepts: financial risk components, rating analysis, models, economic and regulatory capital
Oxford University Press, 2009 г.
ISBN 978-0-19-954511-7
Книга
Saunders, A.
Credit risk measurement: new approaches to value at risk and other paradigms
ISBN 0-471-35084-2
Saunders, A.
Credit risk measurement: new approaches to value at risk and other paradigms
Серия: Wiley frontiers in finance
John Wiley & Sons, 1999 г.ISBN 0-471-35084-2
Книга
Loffler, G.
Credit risk modeling using Exel and VBA
ISBN 978-0-470-03157-5
Loffler, G.
Credit risk modeling using Exel and VBA
Серия: Wiley finance series
John Wiley & Sons, 2007 г.ISBN 978-0-470-03157-5
Книга
Lando, D.
Credit risk modelling: theory and applications
ISBN 0-691-08929-9
Lando, D.
Credit risk modelling: theory and applications
Серия: Princeton series in finance
Princeton University Press, 2004 г.ISBN 0-691-08929-9
Книга
Schmid, B.
Credit risk pricing models: theory and practice
ISBN 3-540-40466-X
Schmid, B.
Credit risk pricing models: theory and practice
Серия: Springer finance
Springer-Verlag, 2004 г.ISBN 3-540-40466-X
Книга
Credit risk+ in the banking industry
ISBN 3-540-20738-4
Credit risk+ in the banking industry
Серия: Springer finance
Springer-Verlag, 2004 г.ISBN 3-540-20738-4
Книга
Benkert, C.
Default risk in bond and credit derivatives markets
Springer-Verlag, 2004 г.
ISBN 3-540-22041-0
Benkert, C.
Default risk in bond and credit derivatives markets
Springer-Verlag, 2004 г.
ISBN 3-540-22041-0
Книга
Derivative credit risk: further advances in measurement and management
Risk Books, 1999 г.
ISBN 1-89933-248-0
Derivative credit risk: further advances in measurement and management
Risk Books, 1999 г.
ISBN 1-89933-248-0
Книга
Bellalah, M.
Derivatives, risk management & value
World Scientific, 2010 г.
ISBN 978-981-283-862-9
Bellalah, M.
Derivatives, risk management & value
World Scientific, 2010 г.
ISBN 978-981-283-862-9
Книга
Chorafas, D. N.
Financial boom and gloom: the credit and banking crisis of 2007-2009 and beyond
Palgrave Macmillan, 2009 г.
ISBN 978-0-230-57811-1
Chorafas, D. N.
Financial boom and gloom: the credit and banking crisis of 2007-2009 and beyond
Palgrave Macmillan, 2009 г.
ISBN 978-0-230-57811-1
Книга
Cuthbertson, K.
Financial engineering: derivatives and risk management
John Wiley & Sons, 2004 г.
ISBN 0-471-49584-0
Cuthbertson, K.
Financial engineering: derivatives and risk management
John Wiley & Sons, 2004 г.
ISBN 0-471-49584-0
Книга
Basu, S.
Financial liberalization and intervention: a new analysis of credit rationing
Edward Elgar, 2002 г.
ISBN 1-84064-965-8
Basu, S.
Financial liberalization and intervention: a new analysis of credit rationing
Edward Elgar, 2002 г.
ISBN 1-84064-965-8
Книга
Sundaresan, S.
Fixed income markets and their derivatives
Elsevier, Academic Press, 2009 г.
ISBN 978-0-12-370471-9
Sundaresan, S.
Fixed income markets and their derivatives
Elsevier, Academic Press, 2009 г.
ISBN 978-0-12-370471-9
Книга
Fabozzi, F. J.
Fixed income mathematics: analytical and statistical techniques
McGraw-Hill, 2006 г.
ISBN 0-07-146073-X
Fabozzi, F. J.
Fixed income mathematics: analytical and statistical techniques
McGraw-Hill, 2006 г.
ISBN 0-07-146073-X
Книга
Frontiers in credit risk: concepts and techniques for applied credit risk measurement
ISBN 0-471-47906-3
Frontiers in credit risk: concepts and techniques for applied credit risk measurement
Серия: Wiley finance series
John Wiley & Sons, 2003 г.ISBN 0-471-47906-3
Книга
Investing in commercial mortgage-backed securities
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-988-0
Investing in commercial mortgage-backed securities
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-988-0
Книга
Caouette, J. B.
Managing credit rick: the great challenge for the global financial markets
ISBN 978-0-470-11872-6
Caouette, J. B.
Managing credit rick: the great challenge for the global financial markets
Серия: Wiley finance series
John Wiley & Sons, 2008 г.ISBN 978-0-470-11872-6
Книга
Ramaswamy, S.
Managing credit risk in corporate bond portfolios: a practitioner's guide
ISBN 0-471-43037-4
Ramaswamy, S.
Managing credit risk in corporate bond portfolios: a practitioner's guide
Серия: The Frank J. Fabozzi series
John Wiley & Sons, 2004 г.ISBN 0-471-43037-4
Книга
Fabozzi, F. J.
Measuring and controlling interest rate and credit risk
John Wiley & Sons, John Wiley & Sons, 2003 г.
ISBN 0-471-26806-2
Fabozzi, F. J.
Measuring and controlling interest rate and credit risk
John Wiley & Sons, John Wiley & Sons, 2003 г.
ISBN 0-471-26806-2
Книга
Duffie, D.
Measuring corporate default risk
Oxford University Press, 2011 г.
ISBN 978-0-19-927923-4
Duffie, D.
Measuring corporate default risk
Oxford University Press, 2011 г.
ISBN 978-0-19-927923-4
Книга
Thomas, L. C.
Readings in credit scoring: foundations, developments, and aims
Oxford University Press, 2004 г.
ISBN 0-19-852797-7
Thomas, L. C.
Readings in credit scoring: foundations, developments, and aims
Oxford University Press, 2004 г.
ISBN 0-19-852797-7
Книга
Risk behaviour and risk management in business life
Kluwer Academic Publishers, 2000 г.
ISBN 0-7923-5868-6
Risk behaviour and risk management in business life
Kluwer Academic Publishers, 2000 г.
ISBN 0-7923-5868-6
Книга
Das, S.
Risk management: the swaps & financial derivatives library
ISBN 0-470-82165-5
Das, S.
Risk management: the swaps & financial derivatives library
Серия: Wiley finance series
John Wiley & Sons, 2006 г.ISBN 0-470-82165-5
Книга
Hull, J.
Risk management and financial institutions
Pearson Education, 2007 г.
ISBN 0-13-239790-0
Hull, J.
Risk management and financial institutions
Pearson Education, 2007 г.
ISBN 0-13-239790-0
Книга
Hibbeln, M.
Risk management in credit portfolios: concentration risk and basel II
ISBN 978-3-7908-2606-7
Hibbeln, M.
Risk management in credit portfolios: concentration risk and basel II
Серия: Contributions to economics
Physica-Verlag, 2010 г.ISBN 978-3-7908-2606-7
Книга
Risk management: value at risk and beyond
Cambridge University Press, 2002 г.
ISBN 0-521-78180-9
Risk management: value at risk and beyond
Cambridge University Press, 2002 г.
ISBN 0-521-78180-9