Credit & Credit Institutions


"Structured Credit Products"

Pricing, Rating, Risk Management and Basel Ii

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Written by industry participants, regulators and academics active within the market, this title aids the reader in understanding developments in the pricing, rating and risk management of structured products as well as the related regulatory issues. It concludes with an analysis of the Basel proposals as they relate to structured exposures. With graphs & tables. Hardback, 392 pages. Size: 235 x 155 mm. Weight: 788g.
Author:  (Perraudin, William, ed.)
ISBN:  1904339263
Publisher:  Risk Books
Date:  2004  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions

"Mortgage Markets Worldwide"

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"Real Estate Issues" series; Provides a theoretical and empirical evaluation of different housing finance systems, presenting a collection of studies that describe various aspects of selected mortgage markets around the world. This book examines questions relating to housing finance efficiency and contract heterogeneity. With 0. Hardback, 312 pages. Size: 255 x 185 mm. Weight: 829g.
Author:  Ben-Shahar, Danny Ong, Seow Eng Leung, Charles
ISBN:  1405132108
Publisher:  John Wiley and Sons Ltd
Date:  2008  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions

"Maverick Real Estate Financing"

The Art of Raising Capital and Owning Properties Like Ross, Sanders and Carey

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Describes the various financing methods you can use to achieve real estate investment success. This book examines real estate financing technique. It discusses strategies and products such as: equity financing, public and private REITs, agency loans, UPREITs Commingled capital, and retail site arbitrage. Hardback, 286 pages. Size: 234 x 158 mm. Weight: 509g.
Author:  Bergsman, Steve
ISBN:  0471745871
Publisher:  John Wiley and Sons Ltd
Date:  2006  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Credit Risk Management and Basel"

An Implementation Guide

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An implementation guide covering the spectrum of credit risk management, this book aims to assist the reader with their credit risk policy, and helps facilitate the establishment of risk processes and procedures. With illustrations. Hardback, 450 pages. Size: 235 x 155 mm. Weight: 1192g.
Author:  Bhatia, Mohan
ISBN:  1904339433
Publisher:  Risk Books
Date:  2006  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions

"Confessions of a Subprime Lender"

An Insider's Tale of Greed, Fraud, and Ignorance

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Former subprime lender Richard Bitner once worked in an industry that started out helping disadvantaged customers but collapsed due to greed, lack of financial control and willful ignorance. In this book, he reveals the truth about how the subprime lending business spiraled out of control. With illustrations. Illustrated ed. Paperback, 208 pages. Size: 230 x 155 mm. Weight: 258g.
Author:  Bitner, Richard
ISBN:  0470402199
Publisher:  John Wiley and Sons Ltd
Date:  2008  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions

"An Introduction to Credit Risk Modeling"

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"Chapman & Hall/Crc Financial Mathematics Series" series; Introduces the fundamentals of credit risk management, provides a full treatment of the related modeling theory and methods, and explores important applications, such as credit portfolio securitization. This book is designed for risk managers looking for a quantitative approach to credit risk. With 44 black & white illustrations, 20 black & white tables. Hardback, 297 pages. Size: 235 x 156 mm. Weight: 586g.
Author:  Bluhm, Christian Overbeck, Ludger Wagner, Christoph Et Al
ISBN:  158488326X
Publisher:  Taylor & Francis Ltd
Date:  2002  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Understanding Credit Derivatives and Related Instruments"

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"Academic Press Advanced Finance" series; Offers a comprehensive introduction to the credit derivatives market. This title provides summaries of the major subjects and the principal perspectives associated with them. It covers pricing and valuation issues, giving discussions of different valuation tools and their use in credit models. It discusses the main types of credit derivatives. With illustrated. Hardback, 368 pages. Size: 229 x 152 mm. Weight: 1000g.
Author:  Bomfim, Antulio
ISBN:  0121082652
Publisher:  Elsevier Science & Technology
Date:  2003  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Managing Credit Risk"

The Great Challenge for Global Financial Markets

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"Wiley Finance" series; Includes a discussion of the global credit markets, touching on various things from the emergence of hedge funds as major players to the growing influence of rating agencies. With illustrations. 2 rev ed. Hardback, 628 pages. Size: 231 x 162 mm. Weight: 883g.
Author:  Caouette, John B. Altman, Edward I. Narayanan, Paul Nimmo, Robert
ISBN:  0470118725
Publisher:  John Wiley and Sons Ltd
Date:  2008  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions

"Credit Risk Models and the Basel Accords"

The Theory and Practice of the Merton Credit Model

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"Wiley Finance (Hardcover)" series; Assesses the ability of credit models to evaluate collateralized debt obligations, loan commitments, collateralized loans, and retail and small business loan portfolios. This book reviews the objectives of the credit risk management process, introduces the theory of the Merton and reduced form credit models, and shows how the models can be used. With illustrations. Hardback, 300 pages. Size: 237 x 164 mm. Weight: 660g.
Author:  Deventer, Donald R.Van Imai, Kenji
ISBN:  0470820918
Publisher:  John Wiley and Sons Ltd
Date:  2003  (Singapore)
Readership:  Professional & Vocational Credit & Credit Institutions

"Business Lending"

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Paperback, 304 pages. Size: 246 x 189 mm. Weight: 561g.
Author:  Dickinson, Keith Checkley, Keith
ISBN:  1845163524
Publisher:  Institute of Financial Services
Date:  2005  (United Kingdom)
Readership:  General (Us: Trade) Credit & Credit Institutions

"Credit Risk"

Pricing, Measurement and Management

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"Princeton Series in Finance" series; Offers a treatment of the conceptual, practical, and empirical foundations for credit risk pricing and risk measurement. This book models credit risk for the purpose of measuring portfolio risk and pricing defaultable bonds, credit derivatives, and other securities exposed to credit risk. It is intended as a resource for researchers and students. With 137 line illus. 34 tables.. Hardback, 464 pages. Size: 229 x 152 mm. Weight: 755g.
Author:  Duffie, Darrell Singleton, Kenneth J.
ISBN:  0691090467
Publisher:  University Presses of California, Columbia and Princeton
Date:  2003  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Bond Credit Analysis"

Framework and Case Studies

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With ill.. Hardback, 572 pages. Size: 238 x 164 mm. Weight: 888g.
Author:  Fabozzi, Frank J.
ISBN:  1883249910
Publisher:  John Wiley and Sons Ltd
Date:  2001  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Measuring and Controlling Interest Rate and Credit Risk"

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"Frank J. Fabozzi Series" series; Provides keys to using derivatives to control interest rate risk and credit risk, and controlling interest rate risk in a mortgage backed securities derivative portfolio. This book includes information on measuring yield curve risk, swaps and exchange traded options, TC options and related products, and more. With illustrations. 2 rev ed. Hardback, 534 pages. Size: 234 x 160 mm. Weight: 805g.
Author:  Fabozzi, Frank J. Mann, Steven V. Choudhry, Moorad
ISBN:  0471268062
Publisher:  John Wiley and Sons Ltd
Date:  2003  (United States)
Readership:  Professional & Vocational Credit & Credit Institutions

"Cash Management and Credit Control"

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"Aat/Nvq Accounting" series; A text for NVQ Unit 15, this guide contains clear explanations, case studies and activities, together with practice Simulations. Paperback, 320 pages. Size: 246 x 189 mm. Weight: 767g.
Author:  Fardon, Michael Penning, Aubrey
ISBN:  1872962971
Publisher:  Osborne Books Ltd
Date:  2004  (United Kingdom)
Readership:  Further/Higher Education Credit & Credit Institutions

"The Banker's Handbook on Credit Risk Implementing Basel"

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Shows how to comply with Basel II regulations on credit risk. This covers applications including areas of Basel II banking risk requirements and financial analysis (exotic options and valuation), to risk analysis (stochastic forecasting, risk-based Monte Carlo simulation, portfolio optimization) and real options analysis. With approx. 240 illustrations. Hardback, 432 pages. Size: 260 x 184 mm. Weight: 990g.
Author:  Glantz, Morton Mun, Johnathan
ISBN:  0123736668
Publisher:  Elsevier Science & Technology
Date:  2008  (United Kingdom)
Readership:  Professional & Vocational Credit & Credit Institutions (Pt. 2)

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