active credit portfolio management

| December 10, 2020

Nachdem Sie Produktseiten oder Suchergebnisse angesehen haben, finden Sie hier eine einfache Möglichkeit, diese Seiten wiederzufinden. His main duties are the evaluation and implementation of value adding risk transfer measures for optimising the credit portfolio's risk/return profile. Bitte versuchen Sie es erneut. In particular, each chapter ends with review questions and exercises. Leider ist ein Problem beim Speichern Ihrer Cookie-Einstellungen aufgetreten. Es liegen 0 Rezensionen und 0 Bewertungen aus Deutschland vor, Entdecken Sie jetzt alle Amazon Prime-Vorteile. I bought it and then e-mailed the owner to see if I would be able to get it asap. The ACPM approach enables a more profitable management of credit risks, based on a risk/return-oriented active management of tailor-made hedging and investment measures with a focus on economic risk transfer, diversification, capital efficiency and profitable leverage. Bitte versuchen Sie es erneut. Quantity: Select type: Hardcover. Free delivery on qualified orders. Jeffrey R. Bohn, PhD (Tokyo Japan, and San Francisco,CA) leads the Financial Strategies group at Shinsei Bank in Tokyo. Bitte versuchen Sie es erneut. From the Back Cover . Written by a team of authors working in Credit Suisse's Credit Portfolio Management Unit in Zurich, this book offers you invaluable real-life insights into this developing area of credit portfolio management.It presents you with the latest thinking about ACPM, starting with a discussion of the various organisational frameworks and potential mandates for an ACPM unit, explaining mathematical concepts underlying portfolio management activities, elaborating investment and hedging cases and corresponding business cases and finally ending with fresh thoughts on the so-called 'cost-to-securitise' as a valuable component in a pricing framework for illiquid credit risks. Nevertheless, the chapters are structured in such a way that readers currently lacking a background in portfolio management or credit risk will quickly get to grips with these topics. Prime-Mitglieder genießen Zugang zu schnellem und kostenlosem Versand, tausenden Filmen und Serienepisoden mit Prime Video und vielen weiteren exklusiven Vorteilen. The ACPM approach enables a more profitable management of credit risks, based on a risk/return-oriented active management of tailor-made hedging and investment measures with a focus on economic risk transfer, diversification, capital efficiency and profitable leverage. Theory is illustrated with practical application. Weitere Informationen finden Sie auf dieser Seite: Nachdem Sie Produktseiten oder Suchergebnisse angesehen haben, finden Sie hier eine einfache Möglichkeit, diese Seiten wiederzufinden. Throughout this book, readers will be introduced to the theoretical foundations of this discipline, and learn about structural, reduced-form, and econometric models successfully used in the market today.The book is full of hands-on examples and anecdotes. Stattdessen betrachtet unser System Faktoren wie die Aktualität einer Rezension und ob der Rezensent den Artikel bei Amazon gekauft hat. Wiederholen Sie die Anforderung später noch einmal. Everyday low prices and free delivery on eligible orders. Etwas ist schiefgegangen. Wählen Sie die Kategorie aus, in der Sie suchen möchten. 581 pages . ACPM implementation has its challenges but by leveraging Basel II implementation efforts, banks can … In passive management, investors expect a return that closely replicates the investment weighting and returns of a benchmark index and will often invest in an index fund Hardcover $200.00. In Stock. The goal of this active credit portfolio management (ACPM) approach is to achieve a risk-return optimal portfolio composition instead of pursuing the conventional transaction-oriented approach, whereby bank loans are statically held until maturity or default. Ich möchte dieses Buch auf dem Kindle lesen. Schnelle Lieferung, auch auf Rechnung - lehmanns.de Reader Ratings: (0 reviews) >>> Click here to rate or review this item. One of the longest-standing investing debates is over the relative merits of active portfolio management versus passive management. The introduction of the euro in 1999 marked the starting point of the development of a … Carsten Knecht is Senior Credit Portfolio Manager in the Credit Portfolio Analytics group of Credit Risk Management at Credit Suisse (CS) in Zurich. Dr. Fredrik Akesson heads the Credit Portfolio Analytics team at Credit Suisse in Zurich since mid of 2008. 6 Personen fanden diese Informationen hilfreich, provides amazing insights into credit risk, Rezension aus den Vereinigten Staaten vom 11. USt. Active Credit Portfolio Management. Mar 2006. Read Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies book reviews & author details and more at Amazon.in. Write your review . Dieser Artikel kann nicht per 1-Click® bestellt werden. Juni 2011. Je nach Lieferadresse kann die USt. It is a rich comfortable read for those with some exposure but wanting insight into the what and why of these models. Active credit portfolio management started to accelerate really about [four] years ago with the development of the credit derivatives market…” quote: RISK Magazine, May 2006. Hinzufügen war nicht erfolgreich. As a result, the concept of “active portfolio credit risk management” has become important in recent years. I enrolled in a class last minute and needed this book within a week. In Stock Hardcover CAD $239.00. ISBN: 978-3-527-50198-4. 0. Kai Rudolph is Senior Credit Portfolio Manager at Credit Suisse in Zurich. Credit portfolio management Credit portfolio management is particularly important within the framework of credit risk management. Active Credit Portfolio Management von Jochen Felsenheimer, Philip Gisdakis, Michael Zaiser (ISBN 978-3-527-50198-4) bestellen. in HypoVereinsbank's Group Credit Portfolio Management in Munich. This book presents state-of-the-art techniques and tools that are needed to facilitate effective credit portfolio management and robust quantitative credit analysis. The book is a valuable, up to date guide for portfolio management practitioners. With an actively managed portfolio, a manager tries to beat the performance of a given benchmark index by using his or her judgment in selecting individual securities and deciding when to buy and sell them. Sie hören eine Hörprobe des Audible Hörbuch-Downloads. This work features invaluable real-life insights into the developing area of active credit portfolio management (ACPM) from a team of Credit Suisse authors. The book also contains supplemental material to complement it and facilitate its use for either classroom instruction or self-study. Außerdem analysiert es Rezensionen, um die Vertrauenswürdigkeit zu überprüfen. March 2006. There was a quick response and I had the item in hand within 5 days. 581 pages. Momentanes Problem beim Laden dieses Menüs. Active Credit Portfolio Management A Practical Guide to Credit Risk Management Strategies by Jochen Felsenheimer, Philip Gisdakis and Michael Zaiser Product code: 23107 ISBN: 3527501983, ISBN13: 9783527501984, 582 pages, hardback Published by John Wiley & Sons, 1st edition, 2005 Description of… Finden Sie alle Bücher, Informationen zum Autor, State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis, Diesen Roman kann man nicht aus der Hand legen…. August 2008, Beliebte Taschenbuch-Empfehlungen des Monats. Active Credit Portfolio Management - A Practical Guide To Credit Risk Management Strategies By: Felsenheimer, Jochen; Gisdakis, Philip; Zaiser, Michael. Before joining Credit Suisse in 2004 he worked for three years in the Credit Portfolio Management group at UBS AG in Zurich. Filled with in-depth insights and expert advice, Active Credit Portfolio Management in Practice serves as a comprehensive introduction to both the theory and real-world practice of credit portfolio management. Despite numerous advances in the world of credit—ranging from new methods for analyzing, managing, and trading credit risk to innovations in the structure of and markets for bank loans, bonds, and credit derivatives—there is still much room for improvement. He finished his Diploma in Business Administration at the Black Forest University Villingen-Schwenningen and is a CFA Charterholder.Dr. Leider ist ein Problem beim Speichern Ihrer Cookie-Einstellungen aufgetreten. Financial institutions without the infrastructure to measure, monitor, and manage their credit exposure run the risk of sudden and large credit losses. Zugelassene Drittanbieter verwenden diese Tools auch in Verbindung mit der Anzeige von Werbung durch uns. A Guide to Active Credit Portfolio Management: Spotlight on Illiquid Credit Risks, (Englisch) Gebundene Ausgabe – 31. Momentanes Problem beim Laden dieses Menüs. Read an Excerpt . CREDIT PORTFOLIO MANAGEMENT AT THE TAIL END OF THE CREDIT CYCLE SURVEY GOAL IACPM Members share their views on the state of CPM today, their priorities, goals and objectives, and how the practice is evolving and expanding in terms of structure, reporting, tools and its role in the enterprise. He holds a diploma in physics and a PhD in high energy physics from the university of Bonn. He started as a credit analyst for regional banks in Germany. He holds a Master of Business Research, MBR and a PhD in Finance from the Munich School of Management. Jochen Felsenheimer, Philip Gisdakis, Michael Zaiser. Active Credit Portfolio Management in Practice. With almost twenty years of experience in the credit arena, authors Jeffrey Bohn and Roger Stein are well versed in both the theory and practice of active credit portfolio management (ACPM). Since 2005 he has worked in Credit Suisse's Credit Portfolio Management unit.Dr. eBook Details. Amazon.in - Buy Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies book online at best prices in India on Amazon.in. Finden Sie hilfreiche Kundenrezensionen und Rezensionsbewertungen für Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies auf Amazon.de. Read an Excerpt Chapter (PDF) Preface (PDF) Table of Contents (PDF) Index (PDF) Description . For liquid credit risks, market-leading banks have already moved away from the classical buy-and-hold paradigm towards Active Credit Portfolio Management (ACPM). Wir verwenden Cookies und ähnliche Tools, um Ihr Einkaufserlebnis zu verbessern, um unsere Dienste anzubieten, um zu verstehen, wie die Kunden unsere Dienste nutzen, damit wir Verbesserungen vornehmen können, und um Werbung anzuzeigen. They then demonstrate how all of these pieces come together as they address practical strategies for credit portfolio modeling by focusing on estimating correlation and credit loss distributions. 6 Active Credit Portfolio Management 147 6.1 Primary Market for Credit Risk 148 6.2 Secondary Market for Credit Risk 149 6.2.1 Regulatory Treatment of Hedging and Securitizations . State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis Filled with in-depth insights and expert advice, Active Credit Portfolio Management in Practice serves as a comprehensive introduction to both the theory and real-world practice of credit portfolio management. 8 Agenda What is credit portfolio management and why is it important Quantitative risk models The basic parameters of credit risk models and financial institutions’ capital requirements. This work features invaluable real-life insights into the developing area of active credit portfolio management (ACPM) from a team of Credit Suisse authors. Today, this trend also applies to semi-liquid and even illiquid credit portfolios. Christian Bluhm heads the Credit Portfolio Management unit of Credit Suisse's Credit Risk Management department in Zurich. Bohn and Stein are two of the great innovators in quantitative credit risk, who translated theory into commercial implementation and introduced many of the measurement and validation methods currently used in practice today. September 2010. ISBN: 978-3-527-50198-4. The book does a good job in explaining both the theoretical and practical part of credit risk modelling, Rezension aus den Vereinigten Staaten vom 2. Bitte versuchen Sie es erneut. He holds a diploma and a PhD in mathematics and co-authored three text books on credit risk modelling and structured credit products.Jens Erler is Senior Credit Portfolio Manager at Credit Suisse. Today, this trend also applies to semi-liquid and even illiquid credit portfolios. Zugelassene Drittanbieter verwenden diese Tools auch in Verbindung mit der Anzeige von Werbung durch uns. Previously, he co-led Moody's KMV's (MKMV's) Global Research group and led MKMV's Credit Strategies group. Prime-Mitglieder genießen Zugang zu schnellem und kostenlosem Versand, tausenden Filmen und Serienepisoden mit Prime Video und vielen weiteren exklusiven Vorteilen. Written by a team of authors working in Credit Suisse's Credit Portfolio Management Unit in Zurich, this book offers you invaluable real-life insights into this developing area of credit portfolio management.It presents you with the latest thinking about ACPM, starting with a discussion of the various organisational frameworks and potential mandates for an ACPM unit, explaining mathematical concepts underlying portfolio management activities, elaborating investment and hedging cases and corresponding business cases and finally ending with fresh thoughts on the so-called 'cost-to-securitise' as a valuable component in a pricing framework for illiquid credit risks. Hinzufügen war nicht erfolgreich. Description. Um die Gesamtbewertung der Sterne und die prozentuale Aufschlüsselung nach Sternen zu berechnen, verwenden wir keinen einfachen Durchschnitt. Ihre zuletzt angesehenen Artikel und besonderen Empfehlungen. He holds a diploma in physics and a PhD in theoretical physics from the University of Mainz.Christoph Muller heads the Credit Portfolio Consulting Team at Credit Suisse in Zurich. It equips you with the tools and techniques needed for success in your own credit portfolio management. Preise inkl. For liquid credit risks, market-leading banks have already moved away from the classical buy-and-hold paradigm towards Active Credit Portfolio Management (ACPM). April 2009, Insightful, encyclopedic reference from two market innovators, Rezension aus den Vereinigten Staaten vom 7. The models and systems their teams have developed are in use in hundreds of large and small financial institutions worldwide. Januar 2013. Active Credit Portfolio Management: A Practical Guide to Credit Risk Management Strategies. Credit Portfolio Management is a topical text on approaches to the active management of credit risks. Geben Sie es weiter, tauschen Sie es ein, © 1998-2020, Amazon.com, Inc. oder Tochtergesellschaften, Active Credit Portfolio Management in Practice, Übersetzen Sie alle Bewertungen auf Deutsch, Lieferung verfolgen oder Bestellung anzeigen, Recycling (einschließlich Entsorgung von Elektro- & Elektronikaltgeräten). an der Kasse variieren. Rezension aus den Vereinigten Staaten vom 17. He recently coauthored a book on instruments and methods for credit risk transfer.Dr. Invaluable real-life insights into the developing area of active credit portfolio management (ACPM) from a team of Credit Suisse authors. ISBN: 978-3-527-50198-4 March 2006 581 Pages. The authors then move on to discuss a variety of probability of default (PD) and valuation models used in credit portfolio management systems—including structural, econometric, and reduced-form—as well as exploring some practical approaches to modeling loss given default (LGD). The introduction of the euro in 1999 marked the starting point of the development of a very liquid and heterogeneous EUR credit market, which exceeds EUR 350bn with respect to outstanding corporate bonds. Active Credit Portfolio Management in Practice presents a framework for understanding and selectively implementing effective credit risk management and credit portfolio management systems—one which can help organizations better position themselves in this evolving environment. Geben Sie es weiter, tauschen Sie es ein, © 1998-2020, Amazon.com, Inc. oder Tochtergesellschaften. He holds a diploma in business mathematics from the University of Leipzig.Dr. Active management (also called active investing) refers to a portfolio management strategy where the manager makes specific investments with the goal of outperforming an investment benchmark index or target return. Video und vielen weiteren exklusiven Vorteilen to complement it and facilitate its use for classroom... Deutsch-Englisch Wörterbuch und Suchmaschine für Millionen von Deutsch-Übersetzungen durch uns Prime Video und vielen exklusiven... Trend also applies to semi-liquid and even illiquid Credit risks Thriller, historische oder... Management – across loan, bond and Credit risk Management at Credit Suisse in Zurich zugelassene Drittanbieter verwenden tools! Sudden and large Credit losses anna Schneebeli is Senior Credit Portfolio Management unit of Credit Suisse Zurich... Berechnen, verwenden wir keinen einfachen Durchschnitt the relative merits of active Credit Portfolio:! 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In 3-7 business days it equips you with the tools and techniques needed for in... Sie die Kategorie aus, in der Sie suchen möchten best part learning! Ratings: ( 0 reviews ) > > > Click here to or. Management Kreditportfolio-Management is t einer der wesentlichen Eckpunkte innerhalb des Kreditris ik o-Managements read active Credit Portfolio Manager Credit! Investments that meet a client 's long-term financial objectives and risk tolerance a result, concept! If i would be able to get it asap position at Credit Suisse in Zurich questions and.! T einer der wesentlichen Eckpunkte innerhalb des Kreditris ik o-Managements position at Credit Suisse 's Credit Portfolio Manager at Suisse... It equips you with the tools and techniques needed for success in your own Credit Management... The University of Bochum background for these topics ( and some others.... Developed are in use in hundreds of large and small financial institutions without the infrastructure to measure, monitor and... Villingen-Schwenningen and is a topical text on approaches to the active Management Credit... © 1998-2020, Amazon.com, Inc. oder Tochtergesellschaften group and led MKMV 's ) Global Research group and led 's. Mid of 2008 your own Credit Portfolio Management is a topical text on approaches to the active Management Credit! There was a project Manager and a PhD in high energy physics from the School.

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