Bookbot

The Credit Risk of Complex Derivatives

Authors

Parameters

  • 393 pages
  • 14 hours of reading

More about the book

Focusing on the credit risks associated with modern financial derivatives, this updated edition offers insights into the regulatory landscape and the importance of risk management. It includes a thorough examination of complex options and swaps, supported by numerous examples and illustrations. The book also addresses portfolio credit risk issues and techniques, aiming to equip readers with a deep and accurate understanding of the complexities involved in credit risk for derivatives.

Publication

Book purchase

The Credit Risk of Complex Derivatives, Erik Banks

Language
Released
1997
product-detail.submit-box.info.binding
(Paperback)
We’ll email you as soon as we track it down.

Payment methods

No one has rated yet.Add rating