Credit Engineering For Bankers, publication ezm ina
c5bee480b0 Credit engineering for bankers : a practical guide for bank lending 7. Please create a new list with a new name; move some items to a new or existing list; or delete some items. Learn more :: Follow WorldCat: . .. Details Document Type: Book All Authors / Contributors: Morton Glantz; Jonathan Mun Find more information about: Morton Glantz Jonathan Mun ISBN: 9780123785855 0123785855 OCLC Number: 656849874 Notes: Includes index. As readers acquire new abilities to calculate risks and evaluate portfolios, they learn how credit risk strategies and policies can affect and be affected by credit ratings and global exposure tracking systems. Bank management. Please enter the message. > # Credit–Management a schema:Intangible ; schema:name "Credit–Management"en ;.
Contact Us Help Order Status Wishlist Sign in/Join 0 Search Advanced search . By implementing robust risk management procedures, bankers can develop comprehensive views of obligors by integrating fundamental and market data into a portfolio framework that treats all instruments similarly. >a genont:InformationResource, genont:ContentTypeGenericResource ; schema:about > ; # Credit engineering for bankers : a practical guide for bank lending schema:dateModified "2016-06-16" ; void:inDataset > ;. > # Credit–Management a schema:Intangible ; schema:name "Credit–Management"en ;. show more Table of contents PART ONE: NEW APPROACHES TO FUNDAMENTAL ANALYSIS The Credit Analysis and the Subprime Mortgage Crisis Introduction to Bank Risk Management International Financial Reporting Standards Multivariate Ratio and Cash Flow Analysis: A Banker's Guide Credit Analysis of Seasonal Businesses: an Integrated Approach Asset Based Lending Cash Flow Analysis: a Banker's Guide A Banker's Primer on Quantitative and Decision Analysis Projections and Risk Assessment The Sustainable Growth and Credit Risk Management Specialized Lending Exposures Recognition and Diagnosis of Troubled Loans PART TWO: CREDIT ADMINISTRATION Risk Governance Bank Failure, Capital Adequacy, Regulatory Capital Ratios, and Loan Loss Provisioning Quantitative Credit and Market Risk Analysis Portfolio Optimization and Management of Default Risk Exotic Options, Option Engineering, and Credit Risk An Introduction to Credit Derivatives Loan Pricing Global Exposure Tracking Systems Corporate Risk Rating: Design and Application show more . > # Elsevier a bgn:Agent ; schema:name "Elsevier" ;. Cite/Export Cite/Export Copy a citation APA (6th ed.) Chicago (Author-Date, 15th ed.) Harvard (18th ed.) MLA (7th ed.) Turabian (6th ed.) Export a citation Export to RefWorks Export to EndNote / Reference Manager Export to EasyBib Export to EndNote / Reference Manager(non-Latin) Cancel Note: Citations are based on reference standards.
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