Книга: Viacheslav Kulish «Credit Risk Management»
Производитель: "LAP Lambert Academic Publishing" Credit risks are the most crucial for banks since ancient cultures to present days. Various financial organizations failures, connected with the negative social impact, additionally raise the question of proper credit risk management during history. The best way to cope with risks is an understanding of their nature. Usage of risk reducing strategies, risk control, monitoring and assessment significantly reduce losses and bring advantages to all economic players. This book describes the recent nature of credit risks from different leading experts and scientists. It provides a practical overview of the most important credit risk management approaches in developed and developing countries. The given work discovers main types of risks for Ukrainian commercial banks, analyze credit risk management methods and their efficiency in Ukraine. It is useful for all types of financial organizations, credit risk practitioners, academics and anyone interested in risks. ISBN:9783659523151 Издательство: "LAP Lambert Academic Publishing" (2014)
ISBN: 9783659523151 |
Другие книги схожей тематики:
Автор | Книга | Описание | Год | Цена | Тип книги |
---|---|---|---|---|---|
Отсутствует | Credit Risk Management | 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… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 4097.49 | электронная книга | |
Anthony Saunders | Credit Risk Management In and Out of the Financial Crisis. New Approaches to Value at Risk and Other Paradigms | A classic book on credit risk management is updated to reflect the current economic crisis Credit Risk Management In and Out of the Financial Crisis dissects the 2007-2008 credit crisis and provides… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 6178.75 | электронная книга | |
Bart Baesens | Credit Risk Analytics. Measurement Techniques, Applications, and Examples in SAS | The long-awaited, comprehensive guide to practical credit risk modeling Credit Risk Analytics provides a targeted training guide for risk managers looking to efficiently build or validate in-house… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 5528.36 | электронная книга | |
Отсутствует | Risk Management. Foundations For a Changing Financial World | Key readings in risk management from CFA Institute, the preeminent organization representing financial analysts Risk management may have been the single most important topic in finance over the past… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 6503.95 | электронная книга | |
Geoff Chaplin | Credit Derivatives. Trading, Investing,and Risk Management | The credit derivatives industry has come under close scrutiny over the past few years, with the recent financial crisis highlighting the instability of a number of credit structures and throwing the… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 7414.5 | электронная книга | |
Anthony Saunders | Credit Risk Measurement. New Approaches to Value at Risk and Other Paradigms | The most cutting-edge read on the pricing, modeling, and management of credit risk available The rise of credit risk measurement and the credit derivatives market started in the early 1990s and has… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 7414.5 | электронная книга | |
Joel Bessis | Risk Management in Banking | Never before has risk management been so important. Now in its third edition, this seminal work by Joël Bessis has been comprehensively revised and updated to take into account the changing face of… — John Wiley&Sons Limited, электронная книга Подробнее... | 5931.6 | электронная книга | |
Joel Bessis | Risk Management in Banking | Never before has risk management been so important. Now in its third edition, this seminal work by Joël Bessis has been comprehensively revised and updated to take into account the changing face of… — John Wiley&Sons Limited, электронная книга Подробнее... | 5868.17 | электронная книга | |
Tomasz Bielecki | Credit Risk Frontiers. Subprime Crisis, Pricing and Hedging, CVA, MBS, Ratings, and Liquidity | A timely guide to understanding and implementing credit derivatives Credit derivatives are here to stay and will continue to play a role in finance in the future. But what will that role be? What… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 3902.37 | электронная книга | |
Joel Bessis | Risk Management in Banking | The seminal guide to risk management, streamlined and updated Risk Management in Banking is a comprehensive reference for the risk management industry, covering all aspects of the field. Now in its… — John Wiley&Sons Limited (USD), электронная книга Подробнее... | 4227.57 | электронная книга |
См. также в других словарях:
Credit risk management — In finance, Credit risk management is the process of assessing risk in an investment. When the risk has been assessed, investment decisions can be made and the risk vs. return balance considered from a better position.The main way to reducing… … Wikipedia
Risk Management — The process of identification, analysis and either acceptance or mitigation of uncertainty in investment decision making. Essentially, risk management occurs anytime an investor or fund manager analyzes and attempts to quantify the potential for… … Investment dictionary
Financial risk management — is the practice of creating economic value in a firm by using financial instruments to manage exposure to risk, particularly Credit risk and market risk. Other types include Foreign exchange, Shape, Volatility, Sector, Liquidity, Inflation risks … Wikipedia
Credit risk — Categories of financial risk Credit risk Concentration risk Market risk Interest rate risk Currency risk Equity risk Commodity risk Liquidity risk Refinancing risk … Wikipedia
Risk management — For non business risks, see risk, and the disambiguation page risk analysis Example of risk management: A NASA model showing areas at high risk from impact for the International Space Station. Risk management is the identification, assessment,… … Wikipedia
Credit risk analyst — Mit informellen Insolvenzprognoseverfahren werden Insolvenzprognoseverfahren bezeichnet, bei denen menschliche Kreditanalysten Insolvenzprognosen auf Basis ihrer Intuition und persönlichen Erfahrung erstellen. Dabei stehen ihnen gegebenenfalls… … Deutsch Wikipedia