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A comprehensive guide to credit risk measurement and management in financial institutions,
focusing on methodologies like Value at Risk and other contemporary paradigms.
This third edition updates the original approaches in light of the global financial crisis,
offering practical strategies, theoretical insights, and case studies for bankers, risk managers,
and financial professionals.
Sub Title:
Edition: Third Edition
Volume:
Publisher: John Wiley & Sons, Inc.
Publishing Year: 2010
ISBN: 978-0-470-47834-9
Pages: 380