Credit Risk (Mastering Mathematical Finance),Marek Capiński, Tom
Credit Risk Mastering Mathematical Finance\nby Marek Capinski\nPaperback\nEnglish\n\nDelivery\nUsually delivered in 2\u20133 working days (dispatched today if ordered before 3pm).\n\nBrand new copy from BookCurl \u2013 the UK independent online bookseller.\n\n------------------------------\nBook details\n------------------------------\nAuthor: Marek Capinski\nTitle: Credit Risk Mastering Mathematical Finance\nFormat: Paperback\nLanguage: English\nTopic: Applied mathematics\nPublisher: Cambridge University Press\nPublication year: 2016\nISBN-13: 9780521175753\nISBN-10: 0521175755\n\n------------------------------\nDescription\n------------------------------\nThis comprehensive and accessible introduction to modelling credit risk is tailored for master's students. It focuses on the two mainstream approaches, structural models and reduced form models, and on pricing selected credit risk derivatives. Balancing rigorous theory with financial intuition, it features detailed worked examples.
Compare prices (2 shops)
| shop | Price | Action |
|---|---|---|
|
|
37,70 GBP | Go to shop |
|
|
42,56 GBP | Go to shop |
