An edition of Risk management in credit portfolios (2010)
concentration risk and Basel II
By Martin Hibbeln
Publish Date
2010
Publisher
Physica
Language
eng
Pages
258
Description:
subjects: Ausfallrisiko, Credit ratings, Basler Eigenkapitalvereinbarung <2001>, Mathematical models, Portfolio management, Credit control, Risk management, Methodology, Portfolio Selection, Kredit, Basel II, Bank, Credit