Credit risk and exposure in securitization and transactions

書誌事項

Credit risk and exposure in securitization and transactions

T.H. Donaldson

Macmillan, 1989

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注記

Includes index

内容説明・目次

内容説明

New banking products and the blurring of the distinction between commercial and investment banking has meant new risks for banks. This book defines the various risks which banks face and relates them to products. After a general discussion of risk, it moves on to major types of risk and their subcategories as well as the main instruments and the risks that each attract. Capital needs and returns and ways of equating different types of risk are dealt with. Credit risk and risks which affect credit risk are given particular priority and the book is aimed at bankers facing credit risk for the first time. The author has written "How to Handle Problem Loans", "Lending in International Commercial Banking", "The Medium-Term Loan Market" with J.A.Donaldson, "Thinking About Credit" and "Understanding Corporate Credit". He is Vice President and European Credit Officer of Morgan Guaranty Trust. He won the Beckett Memorial, Hyde, Walker and Gwyther prizes of the Institute of Bankers.

目次

  • Recognizing risk
  • details of risk
  • risk in instruments
  • risk/reward.

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