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Results for » counterparty credit risk «  (3128 results)

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  • Berücksichtigung von Counterparty Value Adjustment (CVA), Debt Value Adjustment (DVA) und Funding Value Adjustment (FVA) bei der Bepreisung und Bewertung durch Banken
    Title: Berücksichtigung von Counterparty Value Adjustment (CVA), Debt Value Adjustment (DVA) und Funding Value Adjustment (FVA) bei der Bepreisung und Bewertung durch Banken
    Autor:in: Chris Schaible (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Seminar Paper , 2012 , Grade: 1,7
    Price: US$ 19.99
  • Pricing Credit Default Swap Subject to Counterparty Risk and Collateralization
    Title: Pricing Credit Default Swap Subject to Counterparty Risk and Collateralization
    Autor:in: Alan White (Author)
    Subject: Business economics - Investment and Finance
    Category: Research Paper (undergraduate) , 2018 , Grade: 10
    Price: US$ 19.99
  • Counterparty Credit Exposure. An Intuitive Guide to Credit Exposure Measurement
    Title: Counterparty Credit Exposure. An Intuitive Guide to Credit Exposure Measurement
    Autor:in: Frederik Wulf (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Seminar Paper , 2015 , Grade: 1,7
    Price: US$ 19.99
  • Credit Risk. KMV-Approach
    Title: Credit Risk. KMV-Approach
    Autor:in: Robert Schott (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Seminar Paper , 2007 , Grade: 1,3
    Price: US$ 0.99
  • Credit risk trading. An examination
    Title: Credit risk trading. An examination
    Autor:in: Arno Hetzel (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Term Paper , 2016
    Price: US$ 18.99
  • Credit Risk Management: Genehmigungsprozess bei Flottenkunden
    Title: Credit Risk Management: Genehmigungsprozess bei Flottenkunden
    Autor:in: Katrin Nonnenmacher (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Term Paper , 2006 , Grade: 1,7
    Price: US$ 18.99
  • Credit Risk Mitigation - Optimierung von Kreditportfolios
    Title: Credit Risk Mitigation - Optimierung von Kreditportfolios
    Autor:in: Christian Hort (Author), Sebastian Simon (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Seminar Paper , 2001 , Grade: 1,0
    Price: US$ 21.99
  • Credit Risk Management in Ghanaian Commercial Banks
    Title: Credit Risk Management in Ghanaian Commercial Banks
    Autor:in: Michael Nyarko-Baasi (Author)
    Subject: Business economics - Investment and Finance
    Category: Master's Thesis , 2012 , Grade: B
    Price: US$ 51.99
  • The negative basis - Credit Default Swap contracts and credit risk during the financial crisis
    Title: The negative basis - Credit Default Swap contracts and credit risk during the financial crisis
    Autor:in: Matthias Schnare (Author)
    Subject: Economics - Finance
    Category: Master's Thesis , 2010 , Grade: 5.0 (Schweiz)
    Price: US$ 42.99
  • Consumer Loan Credit Risk Analyser Using Neural Networks
    Title: Consumer Loan Credit Risk Analyser Using Neural Networks
    Autor:in: Shilpa Laddha (Author)
    Subject: Computer Sciences - Artificial Intelligence
    Category: Master's Thesis , 2007
    Price: US$ 0.99
  • Risikoadjustierte Bepreisung von Krediten. Credit Value at Risk
    Title: Risikoadjustierte Bepreisung von Krediten. Credit Value at Risk
    Autor:in: Dipl.-Betriebswirt (FH) Hans Schätzle (Author)
    Subject: Business economics - General
    Category: Diploma Thesis , 2008 , Grade: 2
    Price: US$ 34.99
  • Reducing the variation of credit risk-weighted assets
    The proposal of the Basel Committee on a new framework for internal model approaches
    Title: Reducing the variation of credit risk-weighted assets
    Autor:in: Anonym (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Seminar Paper , 2017 , Grade: 1,3
    Price: US$ 18.99
  • Valuing Credit Risk - Variance Reduction Techniques for Monte Carlo Methods
    Title: Valuing Credit Risk - Variance Reduction Techniques for Monte Carlo Methods
    Autor:in: Ralph Karels (Author)
    Subject: Mathematics - Applied Mathematics
    Category: Master's Thesis , 2003 , Grade: 2,0 (B)
    Price: US$ 21.99
  • Risk-based pricing - Are India's credit markets moving towards this paradigm?
    Title: Risk-based pricing - Are India's credit markets moving towards this paradigm?
    Autor:in: Bhadrish Raju (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Research Paper (postgraduate) , 2005
    Price: US$ 0.99
  • Factor models on explaining firm’s returns in a credit risk context
    Is the usual one-factor model good enough?
    Title: Factor models on explaining firm’s returns in a credit risk context
    Autor:in: Master of Arts UZH Stefan Heini (Author)
    Subject: Business economics - Investment and Finance
    Category: Seminar Paper , 2012 , Grade: 1
    Price: US$ 19.99
  • Influence of Credit Risk on the Growth of Microfinance Organizations in Eldoret Municipality (Kenya)
    Title: Influence of Credit Risk on the Growth of Microfinance Organizations in Eldoret Municipality (Kenya)
    Autor:in: Irene Cheptumo (Author)
    Subject: Economics - Finance
    Category: Research Paper (postgraduate) , 2018
    Price: US$ 18.99
  • The Influence of Top-Management Characteristics on Corporate Credit Risk Measures
    An empirical investigation of US-stock listed companies and their CEOs
    Title: The Influence of Top-Management Characteristics on Corporate Credit Risk Measures
    Autor:in: Elias Fiebig (Author)
    Subject: Business economics - Business Management, Corporate Governance
    Category: Term Paper , 2016 , Grade: A
    Price: US$ 34.99
  • Credit-Scoring. Vorteile, Nachteile, Chancen und Risiken im Rahmen des Risk-Managements
    Title: Credit-Scoring. Vorteile, Nachteile, Chancen und Risiken im Rahmen des Risk-Managements
    Autor:in: Stefan Stebegg (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Term Paper , 2011 , Grade: 1,3
    Price: US$ 19.99
  • Credit Risk Management in the Development Bank of Ethiopia. Effects on the Quality of Loan Portfolio
    Title: Credit Risk Management in the Development Bank of Ethiopia. Effects on the Quality of Loan Portfolio
    Autor:in: Kebede Adane (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Master's Thesis , 2020
    Price: US$ 42.99
  • Credit Default Swaps. Regulierungsansätze im CDS Markt
    Unter besonderer Berücksichtigung von Central Counterparties
    Title: Credit Default Swaps. Regulierungsansätze im CDS Markt
    Autor:in: Jasmin Behnke (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Diploma Thesis , 2010 , Grade: 1,7
    Price: US$ 42.99
  • The Impact of ESG Performance on Cost of Debt via Credit Risk. A Case for Sustainability-Linked Loans in Europe
    Title: The Impact of ESG Performance on Cost of Debt via Credit Risk. A Case for Sustainability-Linked Loans in Europe
    Autor:in: Florian Porzel (Author)
    Subject: Business economics - Investment and Finance
    Category: Master's Thesis , 2020 , Grade: 1,0
    Price: US$ 34.99
  • Assessing Credit Default Risk Using Logistic Regression. A Transparent Approach to Scoring with the UCI Dataset and SPSS
    Title: Assessing Credit Default Risk Using Logistic Regression. A Transparent Approach to Scoring with the UCI Dataset and SPSS
    Autor:in: Nabil Nakbi (Author)
    Subject: Economics - Finance
    Category: Scientific Study , 2025 , Grade: 10.00
    Price: US$ 19.99
  • Kreditrisikomanagement unter Basel II
    Credit Risk Management under the terms of Basel II
    Title: Kreditrisikomanagement unter Basel II
    Autor:in: Marc Howland (Author)
    Subject: Business economics - Investment and Finance
    Category: Master's Thesis , 2007 , Grade: passed
    Price: US$ 34.99
  • Risikocontrolling als modernes Instrument der Unternehmensführung in einer Bank
    Integrierte Risk-/ Returnsteuerung des Kreditgeschäftes unter spezieller Berücksichtigung des Credit-Value-at-Risk und risikoadjustierter Performancemaße
    Title: Risikocontrolling als modernes Instrument der Unternehmensführung in einer Bank
    Autor:in: Michael Rohleder (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Diploma Thesis , 2006 , Grade: 2,0
    Price: US$ 42.99
  • Credit Default Swaps
    Konstruktion, Markt, Risiken
    Title: Credit Default Swaps
    Autor:in: Jens Schwerdtfeger (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Research Paper (undergraduate) , 2006 , Grade: 1,7
    Price: US$ 19.99
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