Managing Credit Risk in Corporate Bond Portfolios:A Practitioner’s Guide(Frank J. Fabozzi Series)

公司债券证券信贷风险管理:从业者指南

货币银行学

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发货周期:预计3-5周发货
作      者
出  版 社
出版时间
2003年11月17日
装      帧
精装
ISBN
9780471430377
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页      码
288
语      种
英文
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图书简介
Expert guidance on managing credit risk in bond portfoliosManaging Credit Risk in Corporate Bond Portfolios shows readers how to measure and manage the risks of a corporate bond portfolio against its benchmark. This comprehensive guide explores a wide range of topics surrounding credit risk and bond portfolios, including the similarities and differences between corporate and government bond portfolios, yield curve risk, default and credit migration risk, Monte Carlo simulation techniques, and portfolio selection methods.Sr
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