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Helps to stay on top of various major issues in the structured finance market and learn models for identifying, measuring, pricing, and monitoring your deals. This guide deals with major issues facing investors in the structured finance market. It provides the techniques for measuring and managing risk and finding optimum pricing.
Helps you understand several aspects of credit risk, and provides you with techniques and models for identifying, measuring, monitoring, and controlling your organization's credit risk exposure. This book is useful for both academics and risk professionals.
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