9780470686447 - credit derivatives: trading, investing, and risk management di chaplin, geoff (20 risultati)

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Da: PBShop.store UK, Fairford, GLOS, Regno UnitoPBShop.store UK
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HRD. Condizione: New. New Book. Shipped from UK. Established seller since 2000.

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Da: GreatBookPrices, Columbia, MD, U.S.A.GreatBookPrices
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Da: GreatBookPrices, Columbia, MD, U.S.A.GreatBookPrices
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Da: Brook Bookstore On Demand, Napoli, NA, ItaliaBrook Bookstore On Demand
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Da: Ria Christie Collections, Uxbridge, Regno UnitoRia Christie Collections
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Condizione: New. In.

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Da: GreatBookPricesUK, Woodford Green, Regno UnitoGreatBookPricesUK
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Da: GreatBookPricesUK, Woodford Green, Regno UnitoGreatBookPricesUK
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Condizione: As New. Unread book in perfect condition.

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Da: Majestic Books, Hounslow, , Regno UnitoMajestic Books
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Condizione: New. pp. xviii + 376 Illus.

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Da: Kennys Bookshop and Art Galleries Ltd., Galway, GY, IrlandaKennys Bookshop and Art Galleries Ltd.
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EUR 93,65
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Condizione: New. This book covers the subject of Credit Derivatives from a real world perspective, tackling issues such as liquidity, poor data, and credit spreads, to the latest innovations in portfolio products, hedging and risk management techniques. Series: Wiley Finance Series. Num Pages: 408 pages, Illustrations. BIC Class…ification: KFFM. Category: (P) Professional & Vocational. Dimension: 252 x 177 x 30. Weight in Grams: 850. . 2010. 2nd Edition. Hardcover. . . . .

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Da: California Books, Miami, FL, U.S.A.California Books
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Condizione: New.

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Da: Books Puddle, New York, NY, U.S.A.Books Puddle
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Condizione: New. pp. xviii + 376.

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Da: Mooney's bookstore, Den Helder, Paesi BassiMooney's bookstore
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Condizione: Very good.

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Da: Kennys Bookstore, Olney, MD, U.S.A.Kennys Bookstore
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EUR 118,41
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Condizione: New. This book covers the subject of Credit Derivatives from a real world perspective, tackling issues such as liquidity, poor data, and credit spreads, to the latest innovations in portfolio products, hedging and risk management techniques. Series: Wiley Finance Series. Num Pages: 408 pages, Illustrations. BIC Class…ification: KFFM. Category: (P) Professional & Vocational. Dimension: 252 x 177 x 30. Weight in Grams: 850. . 2010. 2nd Edition. Hardcover. . . . . Books ship from the US and Ireland.

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Da: GoldBooks, Denver, CO, U.S.A.GoldBooks
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Hardcover. Condizione: new. New Copy. Customer Service Guaranteed.

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Da: moluna, Greven, , Germaniamoluna
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Gebunden. Condizione: New. GEOFF CHAPLIN studied mathematics at Cambridge (MA 1972) and Oxford (MSc 1973, DPhil 1975) and trained as an actuary (FFA 1978) while working in a life insurance company. He moved to the City in 1980 and has worked for major banks (including HSBC, Nomura In.

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Da: Revaluation Books, Exeter, , Regno UnitoRevaluation Books
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EUR 153,28
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Hardcover. Condizione: Brand New. hardback/cd-rom edition. 408 pages. 9.84x6.93x1.10 inches. In Stock.

- Brossura
Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH
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EUR 104,22
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Taschenbuch. Condizione: Neu. Neuware - The credit derivatives industry has come under close scrutiny over the past few years, with the recent financial crisis highlighting the instability of a number of credit structures and throwing the industry into turmoil. What has been made clear by recent events is the necessity for a tho…rough understanding of credit derivatives by all parties involved in a transaction, especially traders, structurers, quants and investors.Fully revised and updated to take in to account the new products, markets and risk requirements post financial crisis, Credit Derivatives: Trading, Investing and Risk Management, Second Edition, covers the subject from a real world perspective, tackling issues such as liquidity, poor data, and credit spreads, to the latest innovations in portfolio products, hedging and risk management techniques.The book concentrates on practical issues and develops an understanding of the products through applications and detailed analysis of the risks and alternative means of trading.It provides:\* a description of the key products, applications, and an analysis of typical trades including basis trading, hedging, and credit structuring;\* analysis of the industry standard 'default and recovery' and Copula models including many examples, and a description of the models' shortcomings;\* tools and techniques for the management of a portfolio or book of credit risks including appropriate and inappropriate methods of correlation risk management;\* a thorough analysis of counterparty risk;\* an intuitive understanding of credit correlation in reality and in the Copula model.The book is thoroughly updated to reflect the changes the industry has seen over the past 5 years, notably with an analysis of the lead up and causes of the credit crisis. It contains 50% new material, which includes copula valuation and hedging, portfolio optimisation, portfolio products and correlation risk management, pricing in illiquid environments, chapters on the evolution of credit management systems, the credit meltdown and new chapters on the implementation and testing of credit derivative models and systems.The book is accompanied by a CD ROM which contains tools for credit derivatives valuation and risk management, illustrating the models used in the book and also providing a valuation toolkit.Note: CD-ROM/DVD and other supplementary materials are not included as part of Elektronisches Buch file.

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- Print on Demand
Da: THE SAINT BOOKSTORE, Southport, , Regno UnitoTHE SAINT BOOKSTORE
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EUR 87,98
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Hardback. Condizione: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days.

- Rilegato
- Print on Demand
Da: Revaluation Books, Exeter, , Regno UnitoRevaluation Books
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 101,38
EUR 14,40 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 2 disponibili
Hardcover. Condizione: Brand New. hardback/cd-rom edition. 408 pages. 9.84x6.93x1.10 inches. In Stock. This item is printed on demand.

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- Print on Demand
Da: CitiRetail, Stevenage, Regno UnitoCitiRetail
Contatta il venditoreVenditore con 5 stelleCondizione: Nuovo
EUR 81,28
EUR 42,63 spedizioneSpedito da Regno Unito a U.S.A.Quantità: 1 disponibili
Hardcover. Condizione: new. Hardcover. The credit derivatives industry has come under close scrutiny over the past few years, with the recent financial crisis highlighting the instability of a number of credit structures and throwing the industry into turmoil. What has been made clear by recent events is the necessity for a thor…ough understanding of credit derivatives by all parties involved in a transaction, especially traders, structurers, quants and investors. Fully revised and updated to take in to account the new products, markets and risk requirements post financial crisis, Credit Derivatives: Trading, Investing and Risk Management, Second Edition, covers the subject from a real world perspective, tackling issues such as liquidity, poor data, and credit spreads, to the latest innovations in portfolio products, hedging and risk management techniques. The book concentrates on practical issues and develops an understanding of the products through applications and detailed analysis of the risks and alternative means of trading. It provides: a description of the key products, applications, and an analysis of typical trades including basis trading, hedging, and credit structuring;analysis of the industry standard 'default and recovery' and Copula models including many examples, and a description of the models' shortcomings;tools and techniques for the management of a portfolio or book of credit risks including appropriate and inappropriate methods of correlation risk management;a thorough analysis of counterparty risk;an intuitive understanding of credit correlation in reality and in the Copula model. The book is thoroughly updated to reflect the changes the industry has seen over the past 5 years, notably with an analysis of the lead up and causes of the credit crisis. It contains 50% new material, which includes copula valuation and hedging, portfolio optimisation, portfolio products and correlation risk management, pricing in illiquid environments, chapters on the evolution of credit management systems, the credit meltdown and new chapters on the implementation and testing of credit derivative models and systems. The book is accompanied by a website which contains tools for credit derivatives valuation and risk management, illustrating the models used in the book and also providing a valuation toolkit. This book covers the subject of Credit Derivatives from a real world perspective, tackling issues such as liquidity, poor data, and credit spreads, to the latest innovations in portfolio products, hedging and risk management techniques. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.