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The Credit Risk of Complex Derivatives

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  • 393 pages
  • 14 hours of reading

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Focusing on the credit risks associated with modern financial derivatives, the book begins with an overview of the regulatory landscape and the heightened focus on risk management. It offers a thorough examination of complex options and swaps, supported by numerous examples and illustrations. The concluding sections delve into portfolio credit risk issues and techniques, aiming to provide a clear and effective understanding of the intricacies of credit risk in complex derivatives.

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The Credit Risk of Complex Derivatives, Erik Banks

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Released
1997
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(Hardcover)
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