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CreditRisk+ in the Banking Industry
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CreditRisk+ in the Banking Industry (Hardback)

£99.99
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Synopsis

CreditRisk+ is a widely implemented default-mode model of portfolio credit risk, based on a methodology borrowed from actuarial mathematics. This book gives an account of the status quo as well as of new and recent developments of the credit risk model CreditRisk+, which is widely used in the banking industry. It gives an introduction to the model itself and to its ability to describe, manage and price credit risk. This timely book will be an indispensable tool.

BusinessFinance & accountingFinanceBankingBusinessFinance & accountingFinanceCredit & credit institutionsScience & MathematicsMathematicsApplied mathematics Publisher: Springer-Verlag Berlin and Heidelberg GmbH & Co. KG Publication Date: 18/06/2004 ISBN-13: 9783540207382  Details: Type: Hardback Format: Books
Availability: Currently unavailable to order online.  

Matthias Gundlach: Ph.D. in Mathematics (University of Warwick, UK), 8 years of research and teaching of mathematics (stochastics, dynamical systems, applied mathematics) at the University of Bremen (Germany), habilitation in mathematics (1999, University of Bremen). Since 2000 expert for credit risk modeling in Aareal Bank AG, Wiesbaden, Germany. Frank Lehrbass: Ph.D. in Economics (University of Dortmund, FRG), 10 years of working experience in investment banking (index, equity, interest rate, hybrid, credit derivatives, trading systems & artificial intelligence) and credit risk management. Since 2002 Head of Portfolio Management / Structured Investments, Credit Treasury, Deutsche Genossenschafts-Hypothekenbank AG, Hamburg, Germany.

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