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Understanding Credit Derivatives and Related Instruments
Antulio N. Bomfim
Elsevier Science, 2015 ISBN: 9780128004906Opis:Understanding Credit Derivatives and Related Instruments, Second Edition is an intuitive, rigorous overview that links the practices of valuing and...
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Corporate finance Entrepreneurship Credit & credit institutions Budgeting & financial management BankingNavigating the Business Loan: Guidelines for Financiers, Small-Business Owners, and Entrepreneurs
Morton Glantz
Elsevier Science, 2014 ISBN: 9780128018064Opis:The need for "back to basics" information about credit risk has not disappeared; in fact, it has grown among lenders and investors who have no easy...
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Rating Based Modeling of Credit Risk: Theory and Application of Migration Matrices
Stefan Trueck
Svetlozar T. Rachev
Elsevier Science, 2009 ISBN: 9780080920306Opis:In the last decade rating-based models have become very popular in credit risk management. These systems use the rating of a company as the decisive...
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An Introduction to Real Estate Finance
Edward Glickman
Elsevier Science, 2013 ISBN: 9780123786272Opis:An Introduction to Real Estate Finance serves as the core of knowledge for a single-semester first course in real estate finance. Unlike other real...
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Introduction to Mortgages and Mortgage Backed Securities
Richard K. Green
Elsevier Science, 2013 ISBN: 9780124045934Opis:In Introduction to Mortgages & Mortgage Backed Securities, author Richard Green combines current practices in real estate capital markets with...
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The Independence of Credit Rating Agencies: How Business Models and Regulators Interact
Gianluca Mattarocci
Elsevier Science, 2013 ISBN: 9780124047365Opis:The Independence of Credit Rating Agencies focuses on the institutional and regulatory dynamics of these agencies, asking whether their business...
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Credit Risk: From Transaction to Portfolio Management: From Transaction to Portfolio Management
Andrew Kimber
Elsevier Science, 2003 ISBN: 9780080472416Opis:Credit Risk: from transaction to portfolio management provides high level, focused analysis of the nature of credit risk in investment bank portfolio...
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