<A> Look back at the 2008 financial crisis: the disconnect between credit and market risks
Globálna finančná kríza. Prehľad faktorov, ktoré prispeli k celosvetovej finančnej kríze. Nadmerné zadĺženie domácností. Inverzná korelácia medzi úverovým a trhovým rizikom. Nové pravidlá fungovania finančného trhu v USA.
Gespeichert in:
| 1. Verfasser: | |
|---|---|
| Weitere Verfasser: | , |
| Format: | Buchkapitel |
| Sprache: | Englisch |
| Schlagworte: | |
| Tags: |
Keine Tags, Fügen Sie das erste Tag hinzu!
|
Ähnliche Einträge: <A> Look back at the 2008 financial crisis: the disconnect between credit and market risks
- Modeling Credit Losses for Multiple Loan Portfolios
- On estimating business loan credit risk in Slovakia
- Dynamic multi-factor credit risk model with fat-tailed factors
- Credit risk and bank lending in the Czech Republic
- Financial risk management <a> practitioner's guide to managing market and credit risk
- The Use of Copula in the Credit Risk Model Using R