The Credit Risk of Financial Instruments

Lieferzeit: Lieferbar innerhalb 14 Tagen

213,99 

Finance and Capital Markets Series

ISBN: 0333595939
ISBN 13: 9780333595930
Autor: Banks, Erik
Verlag: Springer Verlag GmbH
Umfang: ix, 269 S., 6 s/w Illustr., 269 p. 6 illus.
Erscheinungsdatum: 17.12.1992
Auflage: 1/1992
Produktform: Gebunden/Hardback
Einband: Gebunden
Artikelnummer: 9062673 Kategorie:

Beschreibung

Market volatility and competition have each played a significant role in altering the state of banking over the last twenty years. During the 1980s and 1990s banks have been exposed to new types of risks with far different characteristics and magnitudes than those dealt with in the early days of banking. Erik Banks seeks to explore the qualitative and quantitative aspects of risks attributable to financial instruments in today's markets, which are so much a part of banking business throughout the world. Banks describes the credit risks encountered in dealing with financial instruments and establishes a framework for quantifying the risks and applies framework and concepts on a product-by-product basis.

Herstellerkennzeichnung:


Springer Verlag GmbH
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69121 Heidelberg
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E-Mail: juergen.hartmann@springer.com

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