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Christian Bluhm has written 5 work(s)
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Paperback:
9781500682392 | 2 edition (Createspace Independent Pub, July 30, 2014), cover price $10.00
Product Description: Ideal for a one-semester course on mathematical probability, with examples and applications from credit risk, this self-contained text provides an introduction to the probabilistic concepts underlying the best practice credit risk models as they are used in banks today...read more
Hardcover:
9781439836538 | 1 edition (CRC Pr I Llc, October 10, 2014), cover price $79.95 | About this edition: Ideal for a one-semester course on mathematical probability, with examples and applications from credit risk, this self-contained text provides an introduction to the probabilistic concepts underlying the best practice credit risk models as they are used in banks today.
In today's increasingly competitive financial world, successful risk management, portfolio management, and financial structuring demand more than up-to-date financial know-how. They also call for quantitative expertise, including the ability to effectively apply mathematical modeling tools and techniques. An Introduction to Credit Risk Modeling supplies both the bricks and the mortar of risk management. In a gentle and concise lecture-note style, it introduces the fundamentals of credit risk management, provides a broad treatment of the related modeling theory and methods, and explores their application to credit portfolio securitization, credit risk in a trading portfolio, and credit derivatives risk. The presentation is thorough but refreshingly accessible, foregoing unnecessary technical details yet remaining mathematically precise.Whether you are a risk manager looking for a more quantitative approach to credit risk or you are planning a move from the academic arena to a career in professional credit risk management, An Introduction to Credit Risk Modeling is the book you've been looking for. It will bring you quickly up to speed with information needed to resolve the questions and quandaries encountered in practice.
Hardcover:
9781584889922, titled "Introduction to Credit Risk Modeling" | 2 edition (Chapman & Hall, June 3, 2010), cover price $99.95
9781584883265 | Chapman & Hall, October 1, 2002, cover price $92.95 | About this edition: In today's increasingly competitive financial world, successful risk management, portfolio management, and financial structuring demand more than up-to-date financial know-how.
Hardcover:
9781584886471 | 1 edition (Chapman & Hall, October 26, 2006), cover price $109.95
Hardcover:
9783540321453 | Springer Verlag, June 21, 2006, cover price $109.00
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