Taming Risk: Complete Credit Portfolio Management
Investmentsecurities

Taming Risk: Complete Credit Portfolio Management

by Mark Fisher

Publisher
Euromoney Institutional Investor
Pages
224
Language
English
Published
2004

Overview

Explains the background, size and growth of the credit markets, the nature of credit risk, the historical pattern of credit returns, the approach of the rating agencies and the motivation for credit portfolio management. Why and how has the credit market reached its current size? What is the scope and complexity of the various credit sectors? Why it is likely to grow rapidly in the future?

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