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Credit risk analytics is undoubtedly one of the most crucial players in the field of financial risk management. With the recent financial downturn and the regulatory changes introduced by the Basel accords, credit risk analytics has been attracting greater attention from the banking and finance industries worldwide.
Now, risk professionals have an inclusive, targeted training guide to producing quality, standardized, and scalable in-house models for credit risk management. Credit Risk Analytics begins with a complete primer on SAS, including how to explicitly program and code the various data steps and models, extract information from data without having to rely on programming, compute basic statistics, and pre-process data. Whether you're building a model from scratch or validating an existing one, this single resource gives you all the insight and practical advice you need on such critical issues as regulatory requirements and stress-testing of credit risk models, including marginal loss given default (LGD) and exposure at default (EAD) models.
A state-of-the-art companion website expedites real-world implementation with clarifying examples of both actual and simulated credit portfolio data, as well as added practical guidance from the author team. This expert resource enables you to:
No other solutions package provides the depth of coverage and level of expertise on aligning risk management theory with the latest code. Keep Credit Risk Analytics at your fingertips for everything you need to analyze credit risk of loans and loan portfolios in the commercial banking industry.
THE FIRST COMPREHENSIVE GUIDE TO PRACTICAL CREDIT RISK MODELING
Risk managers who want to stay competitive in today's marketplace need Credit Risk Analytics to streamline their modeling processes. Despite the high demand for in-house models, this pioneering guidebook is the only complete, focused resource of expert guidance on building and validating accurate, state-of-the-art credit risk management models. Written by a proven author team with international experience, this hands-on road map takes you from the fundamentals of credit risk management to implementing proven strategies in a real-world environment using SAS® software. With the same dependability, clarity, and commitment to excellence books in the Wiley and SAS Business Series are known for, this latest addition enables you to:
Spend less time searching for answers and more time exploiting observable and unobservable information in the most efficient ways with Credit Risk Analytics.
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Seller: Romtrade Corp., STERLING HEIGHTS, MI, U.S.A.
Condition: New. Brand New. Soft Cover International Edition. Different ISBN and Cover Image. Priced lower than the standard editions which is usually intended to make them more affordable for students abroad. The core content of the book is generally the same as the standard edition. The country selling restrictions may be printed on the book but is no problem for the self-use. This Item maybe shipped from US or any other country as we have multiple locations worldwide. Seller Inventory # ABBB-20093
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