The Handbook of Structured Finance, Chapter 2 - Univariate Risk Assessment

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This chapter comes from the book The Handbook of Structured Finance, a complete guide to the major issues facing investors in the structured finance market. Comprehensive and accessible, it provides the latest techniques for measuring and managing risk, finding optimum pricing, and taking advantage of leverage and market incompleteness, as well as models for debt and equity modeling.

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ISBN-10: 007171569X
ISBN-13: 9780071715690
Book pages: 2510
Book language: English
Edition: 6
Binding: eBook
Publisher: McGraw-Hill Professional
Dimensions: Page Fidelity

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