The Credit Risk Of Complex Derivatives(3rd Edition)

Authors:

Erik Banks

Type:Hardcover/ PaperBack / Loose Leaf
Condition: Used/New

In Stock: 1 Left

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Book details

ISBN: 1403916691, 9781403916693

Book publisher: Palgrave Macmillan

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Book Price $0 : Erik Banks' 'The Credit Risk Of Complex Derivatives' provides an in-depth exploration of the intricacies involved in managing credit risk associated with complex derivatives. Focusing on themes such as quantitative risk measurement, credit derivatives, and structured credit products, the book acts as a solution manual for finance professionals navigating the complexities of modern derivatives markets. It systematically unveils methodologies for assessing, modeling, and mitigating credit risk. By offering an answer key to challenges posed by credit-related instruments, Banks empowers readers with the analytical tools needed to critically evaluate risk profiles. The volume is meticulously structured, using a comprehensive table of content to guide readers through dense but critical topics such as value-at-risk (VaR), credit default swaps (CDS), and collateralized debt obligations (CDOs). With its robust exploration of stochastic modeling, counterparty credit risk, and risk management strategies, the book is well-received among academics and practitioners alike for its clarity and depth. Banks' emphasis on quantitative analytics, coupled with real-world applications, sets this book apart as an essential resource in financial risk management literature. Additionally, the work is praised for demystifying complex mathematical frameworks and offering practical insights, making it valuable for both learning and teaching. The cheap price tag makes this textbook summary and solution manual ideal for widespread academic use.

Customer Reviews

Trusted feedback from verified buyers

IR
Ian Rhodes
3.0
A lot packed into it, maybe too much for someone new to this field. It arrived quickly tho, which was nice.
TK
Timothy Knighton
5.0
Bought this with my Prime membership and got an early discount, which was a nice bonus. I'm genuinely impressed with the level of detail and the author’s ability to explain such complex materials in a digestible manner. It's packed with valuable insights and thorough examples that make the concepts much more tangible. Whether you're a student or a practitioner, this book is an invaluable resource. Even with its detailed content, it's surprisingly easy to follow. Kudos to the author!
VP
Valerie Palmer
5.0
This new edition of 'The Credit Risk Of Complex Derivatives' is beyond impressive. The author dives deeply into the intricacies of derivative credit risks with exceptional clarity. I particularly appreciated the updated examples and real-world applications, which are crucial for both students and professionals in the finance industry. The book arrived quickly and in perfect condition, which was a relief since I needed it urgently for a project. Highly recommended for anyone serious about understanding financial instruments.
CG
Clara Griffin
4.0
This book does a great job balancing theory with practical examples. As someone who's been in the finance field for over a decade, I found refreshing perspectives on derivative credit risks. The only reason I'm not giving it five stars is that some sections felt a bit repetitive. However, it's an excellent guide overall, and I feel more equipped to tackle complex derivatives now. Delivery was smooth, and it arrived well-packaged. A worthwhile addition to any finance professional's library.