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Credit Risk: Models, Derivatives, and Management (Chapman & Hall/CRC Financial Mathematics Series) 29.0%OFF

Credit Risk: Models, Derivatives, and Management (Chapman & Hall/CRC Financial Mathematics Series)

by Niklas Wagner

  • ISBN

    :  

    9781584889946

  • Publisher

    :  

    Chapman and Hall/CRC

  • Subject

    :  

    Mathematics, Finance & Accounting, Economics

  • Binding

    :  

    HARDCOVER

  • Pages

    :  

    600

  • Year

    :  

    2008

6809.0

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4834.0

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  • Description

    Featuring contributions from leading international academics and practitioners, Credit Risk: Models, Derivatives, and Management illustrates how a risk management system can be implemented through an understanding of portfolio credit risks, a set of suitable models, and the derivation of reliable empirical results. Divided into six sections, the book •          Explores the rapidly developing area of credit derivative products, including iTraxx Futures, iTraxx Default Swaptions, and constant proportion debt obligations •          Addresses the relationships between the DJ iTraxx credit default swap (CDS) index and the stock market as well as CDS spreads and macroeconomic factors •          Investigates systematic and firm-specific default risk factors, compares CDS pricing results from the CreditGrades industry benchmark to a trinomial tree approach, and applies the Hull–White intensity-based model to the pricing of names from the CDX index •          Analyzes aggregate default and recovery rates on corporate bond defaults over a twenty-year period, the responses of hazard rates to changes in a set of economic variables, low-default portfolios, and tests on the accuracy of the Basel II framework •          Describes benchmark models of implied credit correlation risk, copula-based default dependence concepts, the fit of various copula models, and a common factor model of systematic credit risk •          Studies the pricing of options on single-name CDSs, the pricing of credit derivatives, collateralized debt obligation (CDO) price data, the pricing of CDO tranches, applications of Gaussian and Student’s t copula functions, and the pricing of CDOs Using mathematical models and methodologies, this volume provides the essential knowledge to properly manage credit risk and make sound financial decisions.

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