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& Systematic Credit Risk: CDX Index Correlation and Extreme Dependence BOOK CHAPTER published 28 May 2008 in Credit Risk |
Correlation Portfolio Management OTHER published 2 January 2012 in Credit Derivatives |
& Correlation Risk: What the Market Is Telling Us and Does It Make Sense? BOOK CHAPTER published 28 May 2008 in Credit Risk |
The Basics of Credit Risk Management BOOK CHAPTER published 27 September 2002 in An Introduction to Credit Risk Modeling |
Correlation in Practice OTHER published 2 January 2012 in Credit Derivatives |
2 Economic Principles of Risk Management BOOK CHAPTER published 31 December 2003 in Credit Risk |
Traditional Counterparty Risk Management OTHER published 2 January 2012 in Credit Derivatives |
Economic Principles of Risk Management BOOK CHAPTER published 12 January 2012 in Credit Risk |
Credit Risk Management BOOK CHAPTER published 2017 in Credit Risk Management |
The Normal Copula and Correlation OTHER published 2 January 2012 in Credit Derivatives |
Introduction to credit risk management BOOK CHAPTER published 2004 in Credit Risk Management |
Bank risk management BOOK CHAPTER published 23 October 2008 in Credit Risk Management |
& Copula-Based Default Dependence Modeling: Where Do We Stand? BOOK CHAPTER published 28 May 2008 in Credit Risk |
Risk Taking BOOK CHAPTER published in Retail Credit Risk Management |
Portfolio Credit Risk BOOK CHAPTER published in Retail Credit Risk Management |
IT Systems for Credit Risk Management BOOK CHAPTER published in Retail Credit Risk Management |
& CDO Prices and Risk Management: A Comparative Study of Alternative Approaches for iTraxx Pricing BOOK CHAPTER published 28 May 2008 in Credit Risk |
Risk-Adjusted Performance Measures BOOK CHAPTER published in Retail Credit Risk Management |
13 Integrated Market and Credit Risk Measurement BOOK CHAPTER published 31 December 2003 in Credit Risk |
Portfolio Credit Risk BOOK CHAPTER published 2017 in Credit Risk Management |