This guide provides readers with a set of tools and strategies to better measure and manage risk in the global economy. From the basics of regulation and credit risk management to quantitative credit risk modelling, it provides a complete course on all aspects of credit risk.
|Title||:||Measuring and Managing Credit Risk|
|Author||:||Arnaud de Servigny, Olivier Renault|
|Publisher||:||McGraw Hill Professional - 2004-05-05|