A guide to techniques and developments for managing derivative credit risk. This second edition has been updated, and contains six new chapters on key areas such as the credit risk of credit derivatives, problems of asset allocation, modelling and simulation and credit default swaps.
| Přidáno: 04.05.2007 | ISBN: 1899332480 | Stran: 280 | Cena: £ 137,75 | Jazyk: anglicky |
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