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Emerging Markets and Sovereign Risk

Emerging Markets and Sovereign Risk provides case studies, commentary and analysis on the financial risk management and measurement in the;

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Sovereign Risk Analysis

analysis of sovereign risk in a more general framework than is typically the case, identifying the components of both the demand and supply;

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Sovereign Risk Analysis (Rle Banking & Finance)

analysis of sovereign risk in a more general framework than is typically the case, identifying the components of both the demand and supply;

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Sovereign Risk and Financial Crisis

Eurozone sovereign debt crisis, combining an innovative theoretical framework with in-depth bond market analysis.;

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Bank Stability, Sovereign Debt and Derivatives

control; private equity investment; credit guarantee institutions, performance and risk analysis; credit supply and the rise in sovereign debt;

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Financial Stability Risk. Measuring the Illiquidity of Corporate and Sovereign Bonds

Financial Stability Risk. Measuring the Illiquidity of Corporate and Sovereign Bonds;

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Country Risk Analysis

Country-Risk Analysis is a comprehensive, practical guide to the management of international risk and cross-border lending. The last;

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SOUTHEAST EUROPEAN CAPITAL MARKETS

conditions, investors' expectations and country's sovereign credit risk. Accepting sovereign CDS spreads as measurements of investment expectations;

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Sovereign Debt Crisis

. Chorafas' latest book focuses on sovereign debt, sovereign risk and the developing economic and financial business climate and explains why the;

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Sovereign Debt Crisis

. Chorafas' latest book focuses on sovereign debt, sovereign risk and the developing economic and financial business climate and explains why the;

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Sovereign Default Risk Valuation

Past cycles of sovereign lending and default suggest that debt crises will recur at some point. This book shows why investors should reckon;

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World Investment and Political Risk 2012

risk guarantees, especially in emerging economies, with a a spcial focuson the risk of non honoring of sovereign financial obligations.;

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Bank Stability, Sovereign Debt and Derivatives

presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation;

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Mathematical and Statistical Methods for Actuarial Sciences and Finance

, insurance and finance; real world finance; risk management; solvency analysis; sovereign risk; static and dynamic portfolio selection and management;

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Financial Crises, Sovereign Risk and the Role of Institutions

crises and defaults. The present book contains new research on various important issues related to financial crises and sovereign default risk;

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Financial Crises, Sovereign Risk and the Role of Institutions

crises and defaults. The present book contains new research on various important issues related to financial crises and sovereign default risk;

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Modern Credit Risk Management

at bank, sovereign, corporate and structured finance level. It strongly advocates the importance of sound credit risk management and how this;

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Portfolio and Risk Management for Central Banks and Sovereign Wealth Funds

This book contains original readings on Reserves Management for central banks and sovereign wealth funds. It aims to outline best practice;

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Company States Keep

debt obligations. This has important implications for the study of international cooperation as well as of sovereign risk and credibility at;

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Company States Keep

debt obligations. This has important implications for the study of international cooperation as well as of sovereign risk and credibility at;

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Bank Performance, Risk and Securitization

presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation;

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Corporate Credit Risk Management

or her processes. A final chapter with analyses regarding trade credit insurance, sovereign risk, and quantitative special items rounds off;

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Public Finance and Islamic Capital Markets: Theory and Application

This book addresses the financing of government budgets with non-debt-creating flows through risk-sharing capital market instruments. It;

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Sovereign Debt and Debt Restructuring

, Portugal and Greece; sovereign debt litigation over the last 15 years; the analysis and application of derivatives involving sovereign debt; and;

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Practical Methods of Financial Engineering and Risk Management

various financial instruments correctly, model the risk dimensions of trading strategies, and perform the numerically intensive analysis of risk;

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The European Sovereign Debt Crisis

reining in the risks arising from the well-documented bi-directional financial contagion transmission mechanism that links sovereigns to;

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Law Relating To International Banking

opinions and sovereign risk Adopting an approach that combines being practical, analytical and academic The Law Relating to International Banking;

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