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Introduction to Credit Risk

Giulio Carlone

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Autorius Giulio Carlone
Žanras Finance
Leidimo metai 2020 m.
Puslapių skč. 470 psl.
Viršelis Kietas viršelis
ISBN 9780367478490
Kategorijos Vadyba

Introduction to Credit Risk

Delve into the intricate world of finance with Introduction to Credit Risk by Giulio Carlone. Published by Taylor & Francis Ltd in 2020, this comprehensive hardback spans 470 pages, offering an in-depth analysis of credit risk and its multifaceted components. Explore essential topics such as derivatives, equity investments, portfolio management, quantitative methods, and risk management.

This book serves as a vital resource for finance professionals and students alike, equipping readers with the knowledge to effectively generate data rows of expected exposure to counterparty credit risk. Whether you're looking to enhance your understanding or apply these concepts in real-world scenarios, Introduction to Credit Risk is the perfect guide to navigating the complexities of financial risk assessment.

Book cover of: Introduction to Credit Risk. By: Giulio Carlone

Introduction to Credit Risk

Normaali hinta €230,38
Myyntihinta €230,38 Normaali hinta €237,50