Counterparty credit risk : the new challenge for global financial markets.
2010
424
131.47-GREGO
RISQUE DE CREDIT ; RISQUE FINANCIER ; GESTION DE PORTEFEUILLE ; MARCHE FINANCIER ; MARCHE DERIVE
N° | Cote | Code barre | Commentaire | |
---|---|---|---|---|
1 | [disponible] |
Commentaire :
ISBN 13 : 978-0-470-68576-1
Sommaire : Contents
Introduction
1. Setting the Scene.
2. Defining Counterparty Credit Risk.
3. Mitigating Counterparty Credit Risk.
4. Quantifying Counterparty Credit Exposure, I.
5. Quantifying Counterparty Credit Exposure, II : The Impact of Collateral.
6. Overview of Credit Risk and Credit Derivatives.
7. Pricing Counterparty Credit Risk, I.
8. Pricing Counterparty Credit Risk, II : Wrong-way Risk.
9. Hedging Counterparty Risk.
10. Portfolio Models and Economic Capital.
11. Counterparty Risk, Regulation and Basel II.
12. Managing Counterparty Risk in a Financial Institution.
13. Counterparty Risk of Default-remote Entities.
14. The Role of a Central Counterparty.
15. The Future of Counterparty Risk.
Glossary.
References.
Index.
Langue : Anglais
Collection : FINANCE
Illustration(s) : Tableau(x) ; Schémas
Localisation : Bibliothèque Campus de Nice
Support : Papier
Etat : Présent
Propriétaire : Bibliothèque