Quantitative Assessment of Securitisation Deals
Language: English
Published by Springer, 2012
- Softcover
- Used

Seller: Buchpark, Trebbin, GermanyBuchpark
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Softcover
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Item description from seller
Zustand: Sehr gut | Sprache: Englisch | Produktart: Bücher | The book draws on current research on model risk and parameter sensitivity of securitisation ratings. It provides practical ideas and tools that can facilitate a more informed usage of securitisation ratings. We show how global sensitivity analysis techniques can be used to better analyse and to enhance the understanding of the uncertainties inherent in ratings due to uncertainty in the input parameters. The text introduces a novel global rating approach that takes the uncertainty in the ratings into account when assigning ratings to securitisation products. The book also covers new prepayment and default models that overcome flaws in current models.¿.
Seller Inventory # 12335289/12
- Title
- Quantitative Assessment of Securitisation Deals
- Author
- Campolongo, Francesca
- Publisher
- Springer
- Publication year
- 2012
- Condition
- Sehr gut
- Binding
- Soft cover
- Language
- English
- ISBN 10
- 364229720X
- ISBN 13
- 9783642297205
- Series
- Book 3 of 30: SpringerBriefs in Finance
- Seller catalogs
- Bücher
The book draws on current research on model risk and parameter sensitivity of securitisation ratings. It provides practical ideas and tools that can facilitate a more informed usage of securitisation ratings. We show how global sensitivity analysis techniques can be used to better analyse and to enhance the understanding of the uncertainties inherent in ratings due to uncertainty in the input parameters. The text introduces a novel global rating approach that takes the uncertainty in the ratings into account when assigning ratings to securitisation products. The book also covers new prepayment and default models that overcome flaws in current models.
"Synopsis" may belong to another edition of this title.
From the Back Cover
The book draws on current research on model risk and parameter sensitivity of securitisation ratings. It provides practical ideas and tools that can facilitate a more informed usage of securitisation ratings. We show how global sensitivity analysis techniques can be used to better analyse and to enhance the understanding of the uncertainties inherent in ratings due to uncertainty in the input parameters. The text introduces a novel global rating approach that takes the uncertainty in the ratings into account when assigning ratings to securitisation products. The book also covers new prepayment and default models that overcome flaws in current models.
"About the title" may belong to another edition of this title.
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| Item | 60 to 60 business days | 60 to 60 business days |
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| First item | US$ 121.64 | US$ 150.61 |
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