Item #: 1149594 | Model #: 9783790826067
Risk Management in Credit Portfolios: Concentration Risk and Basel II (Contributions to Economics)
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Risk Management in Credit Portfolios: Concentration Risk and Basel II (Contributions to Economics)

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Product Details
  • Author Name: Martin Hibbeln
  • No of Pages: 248 Pages
  • Publisher: Physica
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169.89
169.89
https://www.staples-3p.com/s7/is/image/Staples/m001215745
09783790826067
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Risk Management in Credit Portfolios: Concentration Risk and Basel II (Contributions to Economics)
Product Description
Risk Management in Credit Portfolios by Martin Hibbeln - Talks about the survival of individual banks and the stability of the whole banking system

Risk Management in Credit Portfolios by Martin Hibbeln talks about the survival of individual banks and the stability of the whole banking system. It includes an analysis of the impact of credit concentrations on portfolio risk.

  • Author Name: Martin Hibbeln
  • No of Pages: 248 Pages
  • Publisher: Physica
  • Publishing Date: September 18, 2010
  • Language: English
  • ISBN -10: 3790826065
  • ISBN -13: 978-3790826067
  • Edition: 2010
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