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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

Authors: Jiří Witzany

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

Authors: Andrew Fight

Bank risk management

BOOK CHAPTER published 23 October 2008 in Credit Risk Management

Authors: Tony Van Gestel | Bart Baesens

& 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

Editors: Renzo Traversini | Anselmo Marmonti

& 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

Editors: Mario Anolli

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

Authors: Jiří Witzany