Managing Portfolio Credit Risk in Banks

Author:   Arindam Bandyopadhyay
Publisher:   Cambridge University Press
ISBN:  

9781107146471


Pages:   374
Publication Date:   09 May 2016
Format:   Hardback
Availability:   Manufactured on demand   Availability explained
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Managing Portfolio Credit Risk in Banks


Overview

Credit risk is the risk resulting from the uncertainty that a borrower or a group of borrowers may be unwilling or unable to meet their contractual obligations as per the agreed terms. It is the largest element of risk faced by most banks and financial institutions. Potential losses due to high credit risk can threaten a bank's solvency. After the global financial crisis of 2008, the importance of adopting prudent risk management practices has increased manifold. This book attempts to demystify various standard mathematical and statistical techniques that can be applied to measuring and managing portfolio credit risk in the emerging market in India. It also provides deep insights into various nuances of credit risk management practices derived from the best practices adopted globally, with case studies and data from Indian banks.

Full Product Details

Author:   Arindam Bandyopadhyay
Publisher:   Cambridge University Press
Imprint:   Cambridge University Press
Dimensions:   Width: 16.00cm , Height: 2.40cm , Length: 23.60cm
Weight:   0.620kg
ISBN:  

9781107146471


ISBN 10:   110714647
Pages:   374
Publication Date:   09 May 2016
Audience:   College/higher education ,  Tertiary & Higher Education
Format:   Hardback
Publisher's Status:   Active
Availability:   Manufactured on demand   Availability explained
We will order this item for you from a manufactured on demand supplier.

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Author Information

Arindam Bandyopadhyay is Associate Professor of Finance and Associate Dean (Research and Consultancy) at the National Institute of Bank Management (NIBM), Pune. He teaches risk management and research methodology subjects for NIBM's postgraduate course and has undertaken major consultancy research projects in risk management, banking, finance, and the housing market.

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Latest Reading Guide

NOV RG 20252

 

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