Finance And Credit

Securitization and Structured Finance Post Credit Crunch: A Best Practice Deal Lifecycle Guide (repost)

Markus Krebsz, "Securitization and Structured Finance Post Credit Crunch: A Best Practice Deal Lifecycle Guide"
2011 | ISBN: 0470713917 | 476 pages | PDF | 8 MB
Discounting, Libor, CVA and Funding: Interest Rate and Credit Pricing (Applied Quantitative Finance)

Discounting, Libor, CVA and Funding: Interest Rate and Credit Pricing (Applied Quantitative Finance) by Roland Stamm
English | Sep. 4, 2012 | ISBN: 1137268514 | 256 Pages | PDF | 1.25 MB

The credit and sovereign debt crises have fundamentally changed the way participants in the global financial markets perceive credit risk.
Treasury Finance and Development Banking: A Guide to Credit, Debt, and Risk

Biagio Mazzi, "Treasury Finance and Development Banking: A Guide to Credit, Debt, and Risk"
English | ISBN: 1118729129 | 2013 | 336 pages | PDF | 17 MB
Securitization and Structured Finance Post Credit Crunch: A Best Practice Deal Lifecycle Guide (repost)

Markus Krebsz, "Securitization and Structured Finance Post Credit Crunch: A Best Practice Deal Lifecycle Guide"
2011 | ISBN: 0470713917 | 476 pages | PDF | 7,6 MB

Structured bonds are often viewed as complex and opaque, and participants in the securitization and structured finance markets have traditionally had a narrow focus on a specific part of the securitization value chain. However, in the post credit crunch environment, the market is more regulated, standardized, transparent, and better structured with closer-aligned and more balanced incentives for all participants, more focus on investors and improved comprehension of these bond instruments. In order for the market to succeed, it is vital that all participants take a broader view and understand every part of the transaction lifecycle.

Investing in Corporate Bonds and Credit Risk (Finance and Capital Markets)  eBooks & eLearning

Posted by m_gobara at June 22, 2010
Investing in Corporate Bonds and Credit Risk (Finance and Capital Markets)

Investing in Corporate Bonds and Credit Risk (Finance and Capital Markets)
Palgrave Macmillan | 2005-01-15 | ISBN: 140393469X | 330 pages | PDF | 2 MB

Investing in Corporate Bonds and Credit Risk is a valuable tool for any corporate bond investor. All the most recent developments and strategies in investment in corporate bonds are analyzed included with qualitative and quantitative approaches. A complete and up-to-date investment process is developed through the book, using many examples taken from banking practice. The growing significance of derivative instruments and credit diversification to bond investors is also analyzed in detail.

Standby Letters of Credit: A Comprehensive Guide (Finance and Capital Markets)  eBooks & eLearning

Posted by m_gobara at June 22, 2010
Standby Letters of Credit: A Comprehensive Guide (Finance and Capital Markets)

Standby Letters of Credit: A Comprehensive Guide (Finance and Capital Markets)
Palgrave Macmillan | 2008-06-15 | ISBN: 0230212182 | 256 pages | PDF | 1 MB

This authoritative reference book gives thorough, practical guidance for anyone who needs to deal with standby letters of credit either professionally or academically. Augmented with examples of numerous real-life cases, the book addresses the exact procedures undertaken by global banks in handling letters of credit transactions whilst incisively providing an article by article interpretation of the ISP98.

Makers and Takers: The Rise of Finance and the Fall of American Business  eBooks & eLearning

Posted by Rare-1 at Nov. 28, 2016
Makers and Takers: The Rise of Finance and the Fall of American Business

Makers and Takers: The Rise of Finance and the Fall of American Business by Rana Foroohar
English | ISBN: 0553447238 | 2016 | EPUB (True) | 364 pages | 5.39 MB

Public Finance and Islamic Capital Markets: Theory and Application  eBooks & eLearning

Posted by interes at Nov. 26, 2016
Public Finance and Islamic Capital Markets: Theory and Application

Public Finance and Islamic Capital Markets: Theory and Application by Syed Aun R. Rizvi and Obiyathulla I. Bacha
English | 2016 | ISBN: 1137553413 | 185 pages | PDF | 2,7 MB

Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets  eBooks & eLearning

Posted by interes at Nov. 21, 2016
Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets

Finance and the Behavioral Prospect: Risk, Exuberance, and Abnormal Markets (Quantitative Perspectives on Behavioral Economics and Finance) by James Ming Chen
English | 2016 | ISBN: 3319327100 | 343 pages | PDF | 5 MB
Statistical Applications from Clinical Trials and Personalized Medicine to Finance and Business Analytics

Statistical Applications from Clinical Trials and Personalized Medicine to Finance and Business Analytics
Springer | Statistics | December 12, 2016 | ISBN-10: 3319425676 | 359 pages | pdf | 6.52 mb

Editors: Lin, J., Wang, B., Hu, X., Chen, K., Liu, R. (Eds.)
Selected Papers from the 2015 ICSA/Graybill Applied Statistics Symposium, Colorado State University, Fort Collins
Focuses on statistical applications from clinical trials, biomarker analysis, and personalized medicine to applications in finance and business analytics
A unique selection of papers from broad and multi-disciplinary critical hot topics - from academic, government, and industry perspectives - to appeal to a wide variety of applied research interests
All papers feature original, peer-reviewed content