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Title: Managing Credit Risk : The Next Great Financial Challenge by John B. Caouette, Edward I. Altman, Paul Narayanan ISBN: 0-471-11189-9 Publisher: John Wiley & Sons Pub. Date: 09 October, 1998 Format: Hardcover Volumes: 1 List Price(USD): $85.00 |
Average Customer Rating: 4.33 (9 reviews)
Rating: 3
Summary: Executive Summary on Managing Credit Risk
Comment: This book is good overview on current status of the credit risk management. I recommend it to those who need to get quick overview on what it takes. It compares classic credit analysis with new approaches, explains the credit culture etc. However this can not be used as a single source of information. You will need additional books. Do not expect to get mathematical formulas in this book. There is only very few of them, which is benefitial here, because the book is easy to understand. What you will get is a vision on how the credit risk should be managed. If you seek specific advices on how to manage credit risk than there are better books like Managing Bank Risk: An Introduction to Broad-Base Credit Engineering from Morton Glanz.
Rating: 4
Summary: Too good to be true?
Comment: While the recent comment "Comprehensive Resource on Credit Risk Management" is very good in many ways, I wish it explains more in the low yielding instruments, like the wit it shows in the treatment of high yield.
Rating: 5
Summary: Comprehensive Resource on Credit Risk Management
Comment: Overall this book is a good overview of credit risk managment issues and techniques. The treatment of high yield is particularly good, and much of this information is unique to this resource. The writing is accessible to beginners, and the content is a useful reference for experienced professionals.
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Title: Risk Budgeting: Portfolio Problem Solving with VaR by Neil D. Pearson ISBN: 0471405566 Publisher: John Wiley & Sons Pub. Date: 18 January, 2002 List Price(USD): $79.95 |
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Title: Value at Risk: The New Benchmark for Managing Financial Risk by Philippe Jorion ISBN: 0071355022 Publisher: McGraw-Hill Trade Pub. Date: 17 August, 2000 List Price(USD): $75.00 |
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Title: Fixed Income Securities: Tools for Today's Markets, Second Edition by Bruce Tuckman ISBN: 0471063177 Publisher: John Wiley & Sons Pub. Date: 16 August, 2002 List Price(USD): $69.95 |
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Title: Managing Operational Risk: 20 Firmwide Best Practice Strategiess by Douglas G. Hoffman ISBN: 0471412686 Publisher: John Wiley & Sons Pub. Date: 11 January, 2002 List Price(USD): $95.00 |
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Title: Risk Management by Michel Crouhy, Robert Mark, Dan Galai ISBN: 0071357319 Publisher: McGraw-Hill Trade Pub. Date: 30 October, 2000 List Price(USD): $70.00 |
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