管理信用风险:全球金融市场的巨大挑战(第2版)

管理信用风险:全球金融市场的巨大挑战(第2版)
作 者: John Caouette Edward Altman Paul Narayanan
出版社: 电子工业出版社
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版权说明: 本书为公共版权或经版权方授权,请支持正版图书
标 签: 暂缺
ISBN 出版时间 包装 开本 页数 字数
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作者简介

  刘洋,数量经济学博士,吉林大学商学与管理学院,副教授,硕士生导师。主持完成博士后科学基金、参与多项课题研究。在核心期刊发表学术论文20余篇。

内容简介

本书针对专业金融人士编写,详细讨论了全球信用市场的情况,涉及从对冲基金作为主要参与者的出现,到评级机构不断增长的影响力等各方面。在对这些问题有了深入理解之后,读者将阅读到一些目前最有效的信用风险管理工具、技术和可用的工具,包括针对小型企业、房地产和新兴市场公司的信用模型、信用风险建模和实践中的违约回收率和违约损失、基于会计数据和市场价值的信用风险模型、信用风险模型的测试和实施、最流行的信用衍生品形式,以及用于分析交易对手信用风险的方法等。在讨论信用风险管理的同时,作者巧妙地将金融市场中的新兴趋势与所提到的新方法结合起来,这将使读者能够迅速将书中概述的教训应用于当今充满活力的信用环境。

图书目录

第1 章 信用风险:全球经济的巨大挑战 ·························································· 1

原书参考文献 ................................................................................................................. 16

第2 章 信用文化 ····················································································· 18

原书参考文献 ................................................................................................................. 30

第3 章 传统金融行业参与者:银行、储蓄机构、保险公司、金融公司和

特殊目的实体 ··············································································· 32

原书参考文献 .................................................................................................................. 45

第4 章 组合管理者:投资管理者、共同基金、养老基金和对冲基金 ···················· 46

原书参考文献 .................................................................................................................. 52

第5 章 结构化中枢:清算所、衍生产品交易商和交易所 ·································· 53

原书参考文献 .................................................................................................................. 61

第6 章 评级机构 ................................................................................................................... 63

原书参考文献 .................................................................................................................. 79

第7 章 古典信用分析 ·············································································· 81

原书参考文献 ................................................................................................................. 91

第8 章 资产保证型贷款和融资租赁 ····························································· 92

原书参考文献 ................................................................................................................. 99

第9 章 信用风险模型简介 ········································································ 100

原书参考文献 ............................................................................................................... 108

第10 章 基于会计数据和市场价值的信用风险模型 ········································· 109

原书参考文献 ............................................................................................................... 161

第11章 基于股票价格的企业信用风险模型.............................................146

第12 章 消费者金融模型 ········································································· 164

原书参考文献 ............................................................................................................... 181

第13 章 小企业、房地产和金融机构的信用模型 ············································ 183

原书参考文献 ............................................................................................................... 193

第14 章 信用风险模型的测试与实施 ··························································· 195

原书参考文献 ................................................................................................................ 206

第15 章 关于公司违约率 ········································································· 207

原书参考文献 ................................................................................................................ 229

第16 章 信用风险建模与实践中的违约回收率和违约损失率 ····························· 231

原书参考文献 ............................................................................................................... 252

第17 章 信用风险迁移 ············································································ 258

原书参考文献 ............................................................................................................... 268

第18 章 投资组合方法介绍 ······································································ 271

原书参考文献 ................................................................................................................ 289

第19 章 经济资本与资本配置 ........................................................................................... 291

原书参考文献 ................................................................................................................ 303

第20 章 投资组合方法的应用 ··································································· 305

原书参考文献 ................................................................................................................ 337

第21 章 信用衍生产品 ············································································ 343

原书参考文献 ............................................................................................................... 364

第22 章 交易对手风险 ············································································ 365

原书参考文献 ............................................................................................................... 380

第23 章 国家风险模型 ...................................................................................................... 382

原书参考文献 ................................................................................................................ 396

第24 章 结构化金融 .......................................................................................................... 399

原书参考文献 ................................................................................................................ 425

第25 章 新市场,新玩家,新玩法................................................................................... 428

原书参考文献 ............................................................................................................... 448

第26 章 市场混乱,均值回归 ··································································· 451