Credit-Risk Modelling

Credit-Risk Modelling

AngličtinaPevná vazbaTisk na objednávku
Bolder David Jamieson
Springer, Berlin
EAN: 9783319946870
Tisk na objednávku
Předpokládané dodání v pátek, 20. prosince 2024
2 370 Kč
Běžná cena: 2 633 Kč
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Podrobné informace

The risk of counterparty default in banking, insurance, institutional, and pension-fund portfolios is an area of ongoing and increasing importance for finance practitioners. It is, unfortunately, a topic with a high degree of technical complexity. Addressing this challenge, this book provides a comprehensive and attainable mathematical and statistical discussion of a broad range of existing default-risk models. Model description and derivation, however, is only part of the story. Through use of exhaustive practical examples and extensive code illustrations in the Python programming language, this work also explicitly shows the reader how these models are implemented. Bringing these complex approaches to life by combining the technical details with actual real-life Python code reduces the burden of model complexity and enhances accessibility to this decidedly specialized field of study. The entire work is also liberally supplemented with model-diagnostic, calibration, and parameter-estimation techniques to assist the quantitative analyst in day-to-day implementation as well as in mitigating model risk. Written by an active and experienced practitioner, it is an invaluable learning resource and reference text for financial-risk practitioners and an excellent source for advanced undergraduate and graduate students seeking to acquire knowledge of the key elements of this discipline.
EAN 9783319946870
ISBN 3319946870
Typ produktu Pevná vazba
Vydavatel Springer, Berlin
Datum vydání 12. listopadu 2018
Stránky 684
Jazyk English
Rozměry 235 x 155
Země Switzerland
Sekce General
Autoři Bolder David Jamieson
Ilustrace 130 Illustrations, color; XXXV, 684 p. 130 illus. in color.
Edice 1st ed. 2018