Description: The Standard & Poor's Guide to Measuring and Managing Credit Risk (ISBN 0071417559) Take control of your financial future with this essential resource for credit risk management. The Standard & Poor's Guide to Measuring and Managing Credit Risk delivers unparalleled insights into assessing and mitigating credit risks in today’s dynamic financial environment. This guide is a must-have for finance professionals, analysts, and anyone seeking a deeper understanding of credit ratings and risk management strategies. Written by seasoned experts, this book demystifies the principles of credit risk evaluation using Standard & Poor's industry-leading methodologies. Whether you're navigating corporate lending, investment portfolios, or financial analysis, this guide provides practical tools and strategies to make informed decisions and safeguard your financial interests. Key Features: Comprehensive breakdown of credit risk fundamentals. Real-world examples and case studies for practical application. Insightful strategies for managing and mitigating credit exposure. Authoritative guidance based on Standard & Poor's trusted methodologies. This book is in [state the condition here] and is ready to be shipped promptly. It’s a valuable addition to any professional library and an indispensable tool for mastering credit risk management. Grab this cornerstone of financial wisdom today and enhance your understanding of credit risk with insights from the global leaders in financial analysis!
Price: 1.35 USD
Location: Lynbrook, New York
End Time: 2025-01-30T19:47:14.000Z
Shipping Cost: 5.38 USD
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Item Specifics
Restocking Fee: No
Return shipping will be paid by: Buyer
All returns accepted: Returns Accepted
Item must be returned within: 30 Days
Refund will be given as: Money Back
Brand: Unbranded
Book Title: The Standard Poors Guide to Measuring and Managing Credit Risk
MPN: Does not apply
Number of Pages: 480 Pages
Language: English
Publication Name: Measuring and Managing Credit Risk
Publisher: Mcgraw-Hill Education
Publication Year: 2004
Subject: Investments & Securities / Derivatives, Public Finance, Finance / General, Decision-Making & Problem Solving
Item Height: 1.6 in
Type: Textbook
Item Weight: 28 Oz
Subject Area: Business & Economics
Item Length: 9.1 in
Author: Olivier Renault, Arnaud De Servigny
Item Width: 6.3 in
Format: Hardcover