This series of financial management titles breaks new ground in simplicity, clarity and ease of application on the complex subject of risk management -- a crucial business tool. These are time-tested training tools, whether for classroom application or individual study. Each title in the series makes use of extensive case studies, adapted specifically for a sophisticated international audience.Topics include: -- defining and measuring credit risk parameters-- credit risk modeling techniques-- integrating credit risk strategies to enhance overall financial goals-- case studies and sample exercises
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From the Back Cover:
The Glenlake Series in Risk Management strives for simplicity, clarity, and ease of application on the complex subject of risk management. As every business academic and professional knows, risk management--whether for new products/services, transaction, interest rate, currency, cashflow, credit, or market risk--is now regarded as the most important business tool. This series involves time-tested training tools--whether for classroom application or individual study. Each title in the series makes extensive use of case studies, adapted specifically for a sophisticated international audience.
The topics covered in this title covers include: defining and measuring credit risk parameters; credit risk modeling techniques; integrating credit risk strategies to enhance overall financial goals; case studies.
"About this title" may belong to another edition of this title.
- PublisherAmacom
- Publication date1999
- ISBN 10 0814405371
- ISBN 13 9780814405376
- BindingHardcover
- Number of pages140