9780470118726 - managing credit risk: the great challenge for global financial markets (wiley finance) von caouette, john b.; altman, edward i.; narayanan, paul; nimmo, robert (12 Ergebnisse)

- Hardcover
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Managing Credit Risk: The Great Challenge for Global Financial Markets: 401 (Wiley Finance)
Caouette, John B.,Altman, Edward I.,Narayanan, Paul,Nimmo, Robert
- Hardcover
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- Hardcover
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- Hardcover
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EUR 18,78
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Zustand: Poor. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In poor condition, suitable as a reading copy. No dust jacket. Library sticker on front cover. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,95…0grams, ISBN:9780470118726.

Managing Credit Risk: The Great Challenge for Global Financial Markets
Caouette, John B.,Altman, Edward I.,Narayanan, Paul,Nimmo, Robert
- Hardcover
Anbieter: Books From California, Simi Valley, CA, USABooks From California
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EUR 42,94
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hardcover. Zustand: Fine.

- Hardcover
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EUR 60,18
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HRD. Zustand: New. New Book. Shipped from UK. Established seller since 2000.

- Hardcover
Anbieter: Majestic Books, Hounslow, , Vereinigtes KönigreichMajestic Books
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EUR 80,18
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Zustand: New. pp. xxvi + 627 Illus.

Managing Credit Risk: The Great Challenge for Global Financial Markets (Wiley Finance) Caouette, John B.; Altman, Edward I.; Narayanan, Paul and Nimmo, Robert
Caouette, John B.; Altman, Edward I.; Narayanan, Paul; Nimmo, Robert
- Hardcover
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EUR 57,76
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Hardcover Jun 06, 2008. Zustand: gebraucht; wie neu.

Managing Credit Risk: The Great Challenge for the Global Financial Markets
Caouette, John B./ Altman, Edward I./ Narayanan, Paul/ Nimmo, Robert
- Hardcover
Anbieter: Revaluation Books, Exeter, , Vereinigtes KönigreichRevaluation Books
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EUR 95,99
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Hardcover. Zustand: Brand New. 2nd edition. 627 pages. 9.00x6.50x1.75 inches. In Stock.

- Hardcover
Anbieter: Kennys Bookstore, Olney, MD, USAKennys Bookstore
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EUR 101,61
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Zustand: New. A timely follow-up to the widely successful Managing Credit Risk , which is regarded as essential reading for anyone involved within the field of credit. Everything is expanding enormously, and Managing Credit Risk, Second Edition will provide practitioners with the resources they need to keep up with such changes…to the field of credit. Series: Wiley Finance Series. Num Pages: 628 pages, Illustrations. BIC Classification: KFFL. Category: (P) Professional & Vocational. Dimension: 234 x 162 x 49. Weight in Grams: 904. . 2008. 2nd Edition. Hardcover. . . . . Books ship from the US and Ireland.

- Hardcover
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EUR 72,72
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Gebunden. Zustand: New. John B. Caouette is the former vice chairman of MBIA Insurance Corporation and is currently Chairman of Channel Capital Group, a European-based credit derivative products company.Edward I. Altman, PhD, MBA, is the Max L. Heine Professor of Finance at the St.

- Hardcover
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EUR 98,16
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Buch. Zustand: Neu. Neuware - Praise for Managing Credit Risk'Against a backdrop of radical industry evolution, the authors of Managing Credit Risk provide a concise and practical overview of these dramatic markets and technical developments in a book that has become a standard reference in the field.'-Thomas C. Wilson, Chief In…surance Risk Officer, ING Group'Managing Credit Risk is an outstanding intellectual achievement. The authors have provided investors with a comprehensive view of the state of credit analysis as the implications of the financial engineering revolution become fully revealed.'-Martin S. Fridson, CFA, Chief Executive Officer, FridsonVision LLC'This book provides a comprehensive review of credit risk management that should be compulsory reading for not only those who are responsible for such risk, but also for financial analysts and investors. An important addition to a significant subject.'-Brian Ranson, Managing Director, Moody's Analytics'This book straddles the vast landscape of the credit market, reflecting the major changes in the past decade, namely the commoditization of credit risk by sophisticated players, through the use of synthetic securities, securitization, and the application of advanced quantitative tools. I know of no other book on the subject with as comprehensive a coverage of this fast-growing field.'-Sanjiv Das, Professor of Finance, Santa Clara University'At just the right time, the authors of Managing Credit Risk give us an up-to-date and comprehensive look at the complex, internationally connected world of credit. The author illuminates the subject with depth and delivers it in a writing style that will stimulate rather than dull the brain for what could have been a very dry topic.'-Barrett Burns, President and CEO, VantageScore Solutions LLC'Managing Credit Risk lays out in clear terms the multiple innovations that we have seen in the credit markets including quantitative analysis of both consumer and corporate financing and portfolio management, securitization and structured financing, derivatives, and other tools. The authors, strongly and correctly, maintain that these innovations must be used by all originators and investors in credit assets in the context of a strong credit risk management culture.'-Philip Sherman, financial services industry consultant.