Sovereign Risk And Financial Crises

Sovereign Risk and Financial Crises  eBooks & eLearning

Posted by insetes at Oct. 21, 2024
Sovereign Risk and Financial Crises

Sovereign Risk and Financial Crises By Bert Scholtens (auth.), Prof. Dr. Michael Frenkel, Prof. Dr. Alexander Karmann, Ass. Prof. Bert Scholtens (eds.)
2004 | 258 Pages | ISBN: 3642060803 | PDF | 9 MB

Financial Crises, Sovereign Risk and the Role of Institutions  eBooks & eLearning

Posted by leonardo78 at Aug. 12, 2019
Financial Crises, Sovereign Risk and the Role of Institutions

Financial Crises, Sovereign Risk and the Role of Institutions by Dominik Maltritz, Michael Berlemann
Language: English | 2016 | ISBN: 3319353616, 3319031031 | 208 pages | PDF | 3,05 MB

The recent world economic crisis showed very clearly that financial crises and sovereign defaults are severe threats to economic and …

Model Risk in Financial Markets: From Financial Engineering to Risk Management  eBooks & eLearning

Posted by ksveta6 at Jan. 21, 2020
Model Risk in Financial Markets: From Financial Engineering to Risk Management

Model Risk in Financial Markets:From Financial Engineering to Risk Management by Radu Tunaru
2015 | ISBN: 9814663409 | English | 382 pages | PDF/EPUB | 3 MB/11 MB

Sovereign Default Risk Valuation (Repost)  eBooks & eLearning

Posted by AvaxGenius at June 11, 2017
Sovereign Default Risk Valuation (Repost)

Sovereign Default Risk Valuation: Implications of Debt Crises and Bond Restructurings By Jochen Andritzky
English | PDF | 2006 | 261 Pages | ISBN : 3540374485 | 2 MB

Past cycles of sovereign lending and default in emerging markets suggest that debt crises will recur at some point. In addressing debt crises it has proven helpful to distinguish between situations of illiquidity and insolvency. Solutions range from a voluntary debt swap to a soft or hard restructuring. This book shows why investors should reckon with similar credit events in the future.

Sovereign Default Risk Valuation  eBooks & eLearning

Posted by AvaxGenius at May 22, 2017
Sovereign Default Risk Valuation

Sovereign Default Risk Valuation: Implications of Debt Crises and Bond Restructurings By Jochen Andritzky
English | PDF | 2006 | 261 Pages | ISBN : 3540374485 | 2 MB

Past cycles of sovereign lending and default in emerging markets suggest that debt crises will recur at some point. In addressing debt crises it has proven helpful to distinguish between situations of illiquidity and insolvency. Solutions range from a voluntary debt swap to a soft or hard restructuring. This book shows why investors should reckon with similar credit events in the future.

Sovereign Default Risk Valuation (Repost)  eBooks & eLearning

Posted by AvaxGenius at July 18, 2017
Sovereign Default Risk Valuation (Repost)

Sovereign Default Risk Valuation: Implications of Debt Crises and Bond Restructurings By Jochen Andritzky
English | PDF | 2006 | 261 Pages | ISBN : 3540374485 | 2 MB

Past cycles of sovereign lending and default in emerging markets suggest that debt crises will recur at some point. In addressing debt crises it has proven helpful to distinguish between situations of illiquidity and insolvency. Solutions range from a voluntary debt swap to a soft or hard restructuring. This book shows why investors should reckon with similar credit events in the future.
The European Sovereign Debt Crisis: Breaking the Vicious Circle between Sovereigns and Banks

The European Sovereign Debt Crisis: Breaking the Vicious Circle between Sovereigns and Banks by Phoebus L. Athanassiou and Angelos T. Vouldis
English | August 24, 2021 | ISBN: 0367523469 | 236 pages | PDF | 8 MB

The Handbook of Corporate Financial Risk Management (repost)  eBooks & eLearning

Posted by interes at May 5, 2019
The Handbook of Corporate Financial Risk Management (repost)

The Handbook of Corporate Financial Risk Management by Stanley Myint, Fabrice Famery
English | 2012 | ISBN: 1906348928 | 384 pages | PDF | 6 MB

Managing And Measuring Of Risk  eBooks & eLearning

Posted by Free butterfly at Aug. 19, 2023
Managing And Measuring Of Risk

Managing And Measuring Of Risk: Emerging Global Standards And Regulations After The Financial Crisis by Oliviero Roggi, Edward I Altman
English | February 20, 2013 | ISBN: 9814417491 | 520 pages | PDF | 10 Mb

Handbook of Fixed-Income Securities (repost)  eBooks & eLearning

Posted by interes at March 13, 2019
Handbook of Fixed-Income Securities (repost)

Handbook of Fixed-Income Securities by Pietro Veronesi
English | 2016 | ISBN: 1118709195 | 632 pages | PDF | 17,3 MB