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1
Loss Given Default von Mobilien-Leasingverträgen
Honal, Martin
-
2009
Grundlagen des Leasinggeschäftes -- Berechnung und Schätzung des LGD von Leasingverträgen -- Hinführung zu den empirischen Untersuchungen -- Einfluss der gesamtwirtschaftlichen Entwicklung auf den LGD -- Einflussfaktoren auf den LGD von PKW-Leasingverträgen -- Zusammenfassung.
Persistent link: https://www.econbiz.de/10014014941
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2
Credit Treasury : A Credit Pricing Guide in Liquid and Non-Liquid Markets
Oricchio, Gianluca
-
2011
This book presents the state-of-the-art with respect to credit risk evaluation and pricing within the contemporary global banking and financial system. It focuses on credit pricing in illiquid, liquid and hybrid markets. No one with any connection to the credit management business will be able...
Persistent link: https://www.econbiz.de/10012053931
Saved in:
3
Asymmetric Cost Behavior : Implications for the Credit and Financial Risk of a Firm
Reimer, Kristina
-
2019
The thesis of Kristina Reimer provides a comprehensive analysis of asymmetric cost behavior (also known as cost stickiness) by discussing its origin and development in the theoretical and empirical research from the 1920s of the past century up until today. Further, using an empirical approach,...
Persistent link: https://www.econbiz.de/10012395868
Saved in:
4
Credit-Risk Modelling : Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python
Bolder, David Jamieson
-
2018
The risk of counterparty default in banking, insurance, institutional, and pension-fund portfolios is an area of ongoing and increasing importance for finance practitioners. It is, unfortunately, a topic with a high degree of technical complexity. Addressing this challenge, this book provides a...
Persistent link: https://www.econbiz.de/10012396938
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5
Commercial Banking Risk Management : Regulation in the Wake of the Financial Crisis
Tian, Weidong
(
ed.
)
-
2017
all important commercial banking risk management topics, including market risk, counterparty credit risk,
liquidity
risk … Counterparty Credit Risk -- 4 XVAs in the Wake of the Financial Crisis -- 5
Liquidity
Risk Management -- 6 Operational Risk …
Persistent link: https://www.econbiz.de/10012397374
Saved in:
6
Collateralized Debt Obligations : A Moment Matching Pricing Technique based on Copula Functions
Marcantoni, Enrico
-
2014
The author focuses on a method to price Collateralized Debt Obligations (CDO) tranches. The original method is developed by Castagna, Mercurio and Mosconi in 2012. The Thesis provides an extension of the original work by generalizing the Gaussian dependence in terms of Copula functions. In...
Persistent link: https://www.econbiz.de/10014017445
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7
Kreditportfoliomodellierung : Abhängigkeiten zwischen Ausfallwahrscheinlichkeit, Verlustrate und Forderungshöhe
Eckert, Johanna
-
2016
-
1. Aufl. 2016
Modellierung der Abhängigkeiten zwischen Ausfall, Verlustrate und Forderungshöhe bei Ausfall mit Faktoren und Copulae -- Multivariate Erweiterung des Heckman-Schätzers, um der Stichprobenselektion seitens der Verlustrate und der Forderungshöhe gerecht zu werden -- Empirische Befunde zur...
Persistent link: https://www.econbiz.de/10014018364
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8
Der Einfluss von Steuern auf Kreditverbriefungen : Steuerliche Behandlung und Entwicklung eines umfassenden theoretischen Modells
Dlugai, Thomas
-
2018
Steuerliche Aspekte einer Verbriefungstransaktion -- Steuerliche Behandlung von Kreditverbriefungen in Deutschland -- Entwicklung eines umfassenden theoretischen Modells für Verbriefungsenscheidungen -- Sensitivitätsanalysen.
Persistent link: https://www.econbiz.de/10014019252
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9
Credit Default Swaps und Informationsgehalt
Wagner, Eva
-
2008
Kredit und
Kreditrisiko
-- Kreditderivate -- Der Credit Default Swap (CDS) -- Externes Rating, CDS und Informationseffi … anderer etablierter Märkte, auf denen das
Kreditrisiko
relevant ist, sowie dem des externen Rating gegenüber. Sie zeigt …
Persistent link: https://www.econbiz.de/10013517112
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10
Kointegrationskonzepte für die Kreditrisikomodellierung : Systematische Kreditrisiken und makroökonomische Theorienbildung
Wagatha, Matthias
-
2005
-
Gabler Edition Wissenschaft
In den letzten Jahren sind die Messung und die Steuerung von Kreditrisiken aufgrund der verschlechterten makroökonomischen Rahmenbedingungen und der daraus resultierenden Zunahme der Insolvenzen ins Zentrum des Interesses gerückt. Verstärkt wird diese Entwicklung durch die vom Baseler...
Persistent link: https://www.econbiz.de/10013517344
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