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Part I. Basics of Sustainable Investing -- Chapter 1. Motivation for Sustainable Investing – What Is the Purpose? -- chapter 2. Methods of Sustainable Investing -- Part II. Engaging with Investees -- Chapter 3. Active Ownership -- Part III. Sustainability in Investment Analysis -- Chapter 4....
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Statistical Methods to Develop Rating Models -- Estimation of a Rating Model for Corporate Exposures -- The Shadow Rating Approach - Experience from Banking Practice -- Estimating Probabilities of Default for Low Default Portfolios -- Transition Matrices: Properties and Estimation Methods -- A...
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The estimation and validation of the Basel II risk parameters PD (default probability), LGD (loss given default), and EAD (exposure at default) is an important problem in banking practice. This book covers designing and validating rating systems and default probability estimations. Furthermore,...
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