Narrow your search

Library

Vlerick Business School (3)

KBC (1)

KU Leuven (1)

LUCA School of Arts (1)

Odisee (1)

Thomas More Kempen (1)

Thomas More Mechelen (1)

UCLL (1)

UGent (1)

ULiège (1)

More...

Resource type

book (3)


Language

English (2)

German (1)


Year
From To Submit

2019 (1)

2015 (1)

2009 (1)

Listing 1 - 3 of 3
Sort by

Book
Collateral management : a guide to mitigating counterparty risk
Author:
ISBN: 1119377129 111937717X 1119377102 Year: 2019 Publisher: Hoboken, NJ : Wiley,

Loading...
Export citation

Choose an application

Bookmark

Abstract

Insight into collateral management and its increasing relevance in modern banking In the wake of recent financial crises, firms of all sizes have adjusted their policies to incorporate more frequent instances of collateral management. Collateral Management: A Guide to Mitigating Counterparty Risk explains the connection between the need for collateral management in order to alleviate counterparty risk and the actions that firms must take to achieve it. Targeted at middle and back office managers seeking a hands-on explanation of the specifics of collateral management, this book offers a thorough treatment of the subject and attends to details such as internal record management, daily procedures used in making and receiving collateral calls, and settlement-related issues that affect the movements of cash and securities collateral. An expert in financial topics ranging from trade lifecycle to operational risk, author Michael Simmons offers readers insight into a field that, so far, is struggling to produce enough expertise to meet its high demand. Presents hands-on advice and examples from a bestselling, internationally renowned author who introduces his third book on operations and operations-related activities Explains the relationship between collateral management and preventing institutional defaults, such as the recent Lehman Brothers downfall Since 2008, firms have recognized and embraced the importance of collateral management, but this book will provide practitioners with a deeper understanding and appreciation of its relevance.


Book
Managerqualität und Collateralized Loan Obligations : Eine empirische Studie über den Einfluss des Investmentmanagers auf die Performance der Kreditverbriefung
Author:
ISBN: 3959341555 Year: 2015 Publisher: Hamburg, [Germany] : Diplomica Verlag,

Loading...
Export citation

Choose an application

Bookmark

Abstract


Book
Synthetic CDOs : modelling, valuation and risk management
Author:
ISBN: 0521897882 0511464770 9786611982935 0511465513 0511462441 0511755481 1281982938 0511463243 0511464037 1107201942 9780511464775 9780511465512 9780511463242 9780521897884 9780511755484 Year: 2009 Publisher: Cambridge : Cambridge University Press,

Loading...
Export citation

Choose an application

Bookmark

Abstract

Credit derivatives have enjoyed explosive growth in the last decade, particularly synthetic Collateralised Debt Obligations (synthetic CDOs). This book describes the state-of-the-art in quantitative and computational modelling of CDOs. Beginning with an overview of the structured finance landscape, readers are introduced tothe basic modelling concepts necessary to model and value simple credit derivatives. The modelling, valuation and risk management of synthetic CDOs are described and a detailed picture of the behaviour of these complex instruments is built up. The final chapters introduce more advanced topics such as portfolio management of synthetic CDOs and hedging techniques. Detailing the latest models and techniques, this is essential reading for quantitative analysts, traders and risk managers working in investment banks, hedge funds and other financial institutions, and for graduates intending to enter the industry. It is also ideal for academics who need to keep informed with current best practice in the credit derivatives industry.

Listing 1 - 3 of 3
Sort by