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Kategorie szczegółowe BISAC

IFRS 9 and CECL Credit Risk Modelling and Validation: A Practical Guide with Examples Worked in R and SAS

ISBN-13: 9780128149409 / Angielski / Miękka / 2019 / 316 str.

UK) Be London Tiziano (BlackRock Financial Market Advisory
IFRS 9 and CECL Credit Risk Modelling and Validation: A Practical Guide with Examples Worked in R and SAS Tiziano (BlackRock Financial Market Advisory, London, UK) Bellini 9780128149409  - książkaWidoczna okładka, to zdjęcie poglądowe, a rzeczywista szata graficzna może różnić się od prezentowanej.

IFRS 9 and CECL Credit Risk Modelling and Validation: A Practical Guide with Examples Worked in R and SAS

ISBN-13: 9780128149409 / Angielski / Miękka / 2019 / 316 str.

UK) Be London Tiziano (BlackRock Financial Market Advisory
cena 367,28
(netto: 349,79 VAT:  5%)

Najniższa cena z 30 dni: 362,04
Termin realizacji zamówienia:
ok. 30 dni roboczych.

Darmowa dostawa!
Kategorie:
Informatyka
Kategorie BISAC:
Business & Economics > Ekonometria
Business & Economics > Strategia biznesowa
Business & Economics > Organizational Behavior
Język:
Angielski
ISBN-13:
9780128149409
Rok wydania:
2019
Ilość stron:
316
Waga:
0.54 kg
Wymiary:
23.5 x 19.05 x 1.7
Oprawa:
Miękka
Wolumenów:
01
Dodatkowe informacje:
Bibliografia

"IFRS 9 and CECL Credit Risk Modelling and Validation: A Practical Guide with Examples Worked in R and SAS by Tiziano Bellini is a precious resource for industry practitioners, researchers and students in the field of credit risk modeling and validation. The author does a great job in covering the various topics in a scientifically sound and comprehensive way without losing practitioner focus. The SAS and R case studies further contribute to its value and make it indispensable for anyone working in credit risk!" --Bart Baesens, KU Leuven and the University of Southampton

"It is commendable that practitioners like Dr Tiziano Bellini find the time to write volumes on the important industry developments in risk management. This timely volume provides a guide to credit risk modelling and validation in the context of IFRS 9 and CECL expected credit loss estimates. The book is thus developed in the context of the familiar PD, LGD and EAD framework. Recent challenging developments are discussed, for example the treatment of lifetime losses is very timely. The last part of the book, where multivariate time series models are brought into play, can also give ideas to researchers who may wish to make their work more relevant for the industry. More generally, this volume provides an unparalleled guide for graduate and MSc students. Examples in R and SAS make the book a must-have for risk management practitioners." --Damiano Brigo, Imperial College London

1. Introduction to Expected Credit Loss Modelling and Validation2. One-Year PDs3. Lifetime PDs 14. LGD Modelling5. Prepayments, Competing Risks and EAD Modelling6. Scenario Analysis and Expected Credit Losses

Tiziano Bellini received his PhD degree in statistics from the University of Milan after being a visiting PhD student at the London School of Economics and Political Science. He is Qualified Chartered Accountant and Registered Auditor. He gained wide risk management experience across Europe, in London, and in New York. He is currently Director at BlackRock Financial Market Advisory (FMA) in London. Previously he worked at Barclays Investment Bank, EY Financial Advisory Services in London, HSBCs headquarters, Prometeia in Bologna, and other leading Italian companies. He is a guest lecturer at Imperial College in London, and at the London School of Economics and Political Science. Formerly, he served as a lecturer at the University of Bologna and the University of Parma. Tiziano is author of Stress Testing and Risk Integration in Banks, A Statistical Framework and Practical Software Guide (in Matlab and R) edited by Academic Press. He has published in the European Journal of Operational Research, Computational Statistics and Data Analysis, and other top-reviewed journals. He has given numerous training courses, seminars, and conference presentations on statistics, risk management, and quantitative methods in Europe, Asia, and Africa.



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