M G*** · M. Glantz · Morton G.
title | ISBN-13 | year of publica- tion | other author(s) |
---|---|---|---|
Credit Derivatives: Techniques to Manage Credit Risk for Financial Professionals | 978-0-07-145314-1 | 2006 | Erik Banks · Paul Siegel |
Credit Engineering for Bankers: A Practical Guide for Bank Lending | 978-0-12-378585-5 | 2010 | Johnathan Mun |
Managing Bank Risk: An Introduction to Broad-Base Credit Engineering | 978-0-12-285785-0 | 2002 | |
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era | 978-0-12-401690-3 | 2013 | Robert Kissell |
Navigating the Business Loan: Guidelines for Financiers, Small-Business Owners, and Entrepreneurs | 978-0-12-801698-5 | 2014 | |
Optimal Trading Strategies: Quantitative Approaches for Managing Market Impact and Trading Risk | 978-0-8144-0724-0 | 2003 | Robert Kissell |
The Banker's Handbook on Credit Risk DVD: Implementing Basel 2 | 978-0-12-373684-0 | 2008 | Johnathan Mun |
The Banker's Handbook on Credit Risk: Implementing Basel II | 978-0-12-373666-6 | 2008 | " |
AMACOM · Academic Press · McGraw-Hill