Managing Credit Risk :The Great Challenge for Global Financial Markets - Wiley Finance

4.00 ( 3 Ratings by Goodreads)
Managing Credit Risk

Managing Credit Risk :The Great Challenge for Global Financial Markets - Wiley Finance

4.00 (3 Ratings by Goodreads)
hardback
Published: 6 June, 2008
Standard worldwide delivery by Wed, August 12 - Mon, August 17
Order within 0
Condition: NEW
$76.35
RRP $100.54
You save $24.20 (24%)
Price includes shipping
Available 20 in stock
- +
FREE Returns within 30 days

Description

Managing Credit Risk, Second Edition opens with a detailed discussion of today’s global credit markets—touching on everything from the emergence of hedge funds as major players to the growing influence of rating agencies. After gaining a firm understanding of these issues, you’ll be introduced to some of the most effective credit risk management tools, techniques, and vehicles currently available. If you need to keep up with the constant changes in the world of credit risk management, this book will show you how.
See more

More Details

Type Book
ISBN13 9780470118726
ISBN10 0470118725
Number Of Pages 656
Item Weight 889 g
Product Dimensions 163 x 236 x 48 mm
Publisher / Reseller John Wiley & Sons Inc
Format hardback
Edition 2nd edition
See More +

Author's Bio

JOHN B. CAOUETTE is the former vice chairman of MBIA Insurance Corporation and is currently Chairman of Channel Capital Group, a European-based credit derivative products company.

EDWARD I. ALTMAN, PHD, MBA, is the Max L. Heine Professor of Finance at the Stern School of Business, New York University. Previously, he chaired the Stern School's MBA Program for twelve years. He has been acclaimed as the world's leading academic on credit risk and distressed and high-yield debt for most of his forty-year career.

PAUL NARAYANAN is Director of Credit Portfolio Analytics at American International Group, Inc. He has been involved with credit risk management for more than two decades and in the development and deployment of analytical solutions for credit issues.

ROBERT W. J. NIMMO is the former group risk director of Barclays PLC, where he was responsible for all the risk management activities of the group covering credit, market, operational risk, and compliance. He was also the chief risk officer for Wachovia Corporation (2000–2001) and for Westpac Banking Corporation (1993–2000).

Show more