Global Credit Review

Volume 2

Business & Finance, Finance & Investing, Banks & Banking, Finance
Cover of the book Global Credit Review by Risk Management Institute, Singapore, World Scientific Publishing Company
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Author: Risk Management Institute, Singapore ISBN: 9789814412650
Publisher: World Scientific Publishing Company Publication: October 1, 2012
Imprint: WSPC/OTHERS Language: English
Author: Risk Management Institute, Singapore
ISBN: 9789814412650
Publisher: World Scientific Publishing Company
Publication: October 1, 2012
Imprint: WSPC/OTHERS
Language: English

This annual publication provides an overview of the most important developments in global credit markets and the regulatory landscape. It covers theoretical and empirical research on credit ratings and credit risk, and reports on recent findings and evolutions of the Risk Management Institute's Credit Research Initiative. The ultimate objective of this publication is to advance the state of research and development in the critical area of credit risk and rating systems. With a distinctive focus on topics related to credit markets and credit risk, this publication will be useful to finance professionals, policy makers and academics with an interest in credit markets.

Contents:

  • Credit Markets: Retrospect and Prospect (David Rowe)
  • An Improved Regulatory Framework for Credit Rating Agencies? (James Weston)
  • Stress Testing (Noel D'Cruz and Davide Crippa)
  • Mega-Banks Self-Insurance with Cocos: A Work in Progress (George von Furstenberg)
  • What are the Driving Factors behind the Rise of Spreads and CDS of Euro-Sovereign Bonds? (Emmanuel Mamatzakis and Panos Remoundos)
  • Measuring Distance-to-Default for Financial and Non-Financial Firms (Jin-Chuan Duan and Tao Wang)
  • NUS-RMI Credit Research Initiative Technical report (RMI staff)
  • A Lead-Lag Investigation of RMI PD and CRA Ratings (RMI staff)

Readership: Finance professionals, policy makers and academics with an interest in credit markets.
Key Features:

  • A distinctive focus on credit risk related topics that are relevant for academics, policymakers and practitioners
  • An annual update on global credit market dynamics and financial regulation
  • Rigorous theoretical and empirical research in the field of credit risk and credit markets with clear practical implications
View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart

This annual publication provides an overview of the most important developments in global credit markets and the regulatory landscape. It covers theoretical and empirical research on credit ratings and credit risk, and reports on recent findings and evolutions of the Risk Management Institute's Credit Research Initiative. The ultimate objective of this publication is to advance the state of research and development in the critical area of credit risk and rating systems. With a distinctive focus on topics related to credit markets and credit risk, this publication will be useful to finance professionals, policy makers and academics with an interest in credit markets.

Contents:

Readership: Finance professionals, policy makers and academics with an interest in credit markets.
Key Features:

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