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Credit Derivatives: Risk Management and Trading

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Publisher Blurb
This book gives a practical and comprehensive account of the theory, modelling and implementation of credit derivatives and cash products. It provides extensive coverage of a number of topics, including the case for practical vs theoretical models, counterparty risk and single name and correlation products, all with a wealth of examples.


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Keyword Pages
asset swaps
bond hedging
bonds and loans
call options
CDS
CDS data
CDS risk
Collatorised Debt Obligations
copulae
corporate debt
correlation portfolio management
counterparty risk
coupula
credit debt
credit default swaps
credit derivatives
credit hedging
credit portfolios
debt
debt default
debt recovery
debt valuation
default swaps
derivatives
hedge funds
hedging
LIBOR
liquidity
portfolio risk
portfolio trades
put options
risk and trading
risk management
risk management and trading
sector trades
sovereign debt
swaps
Total return swaps
trading risk
valuation and hedging
valuation and risk
value at risk
VaR

Keyword Bestsellers

debt

asset swaps

bond hedging

bonds and loans

call options

CDS

CDS data

CDS risk

Collatorised Debt Obligations

copulae

corporate debt

correlation portfolio management

counterparty risk

coupula

credit debt

credit default swaps

credit hedging

credit portfolios

debt default

debt recovery

debt valuation

default swaps

derivatives

hedge funds

hedging

LIBOR

liquidity

portfolio risk

portfolio trades

put options

risk and trading

risk management

risk management and trading

sector trades

sovereign debt

swaps

Total return swaps

trading risk

valuation and hedging

valuation and risk

value at risk

VaR

credit derivatives

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