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Default (Finance)
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Credit derivatives : a guide to instruments and applications
.
by
Tavakoli, Janet von Hebenstreit, 1953-
; New York: John Wiley, 1998.
Subject:
Derivative securities
;
Credit
;
Debt
;
Default (Finance)
;
Risk management
.
Add to Book Cart
Relevance: 15.28%
Emerg. mark. debt rep _ Emerging markets debt report _ Emerging markets debt report
.
New York, N.Y.: American Banker.
Subject:
Debt relief -- Developing countries -- Periodicals
;
Debts, External -- Developing countries -- Periodicals
;
Default (Finance) -- Periodicals
;
Loans, Foreign -- Developing countries -- Periodicals
;
Banking, finance and accounting industries. -- galestne
;
Business. -- galestne
;
Banking, finance and accounting industriesBusiness
;
NWL (Newsletter) -- galestne
.
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Relevance: 12.94%
Measuring and managing credit risk
.
by
Servigny, Arnaud De.
; New York: McGraw-Hill, 2004.
Subject:
Credit -- Management -- Mathematical models
;
Risk management -- Mathematical models
;
Credit ratings
;
Derivative securities
;
Default (Finance)
.
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Relevance: 11.71%
Reserve requirements on sovereign debt in the presence of moral hazard -- on debtors or creditorsn
.
by
Aizenman, Joshua.
; Cambridge: National Bureau of Economic Research, 1999.
Subject:
Debts, External -- Law and legislation
;
Loans, Foreign -- Law and legislation
;
Bank reserves -- Law and legislation
;
Default (Finance)
;
Deposit insurance -- Law and legislation
;
Saving and investment -- United States
;
Labor supply -- United States
.
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Relevance: 10.50%
Globalization and international public finance
.
by
Kremer, Michael.
; Cambridge: National Bureau of Economic Research, 2000.
Subject:
Debts, External -- Government policy -- Econometric models
;
Debts, Public -- Econometric models
;
Default (Finance) -- Government policy -- Econometric models
;
Investments, Foreign -- Government policy -- Econometric models
;
Capital market -- Econometric models
;
Transaction costs -- Econometric models
;
Globaliation -- Econometric models
.
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Relevance: 9.90%
Quantitative asset pricing implications of endogenous solvency constraints
.
by
Alvarez, Fernando.
; Cambridge: National Bureau of Economic Research, 1999.
Subject:
Default (Finance) -- United States -- Econometric models
;
Assets (Accounting) -- Prices -- United States -- Econometric models
;
Bonds -- Prices -- United States -- Econometric models
;
Debt -- United States -- Econometric models
;
Debtor and creditor -- United States -- Econometric models
.
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Relevance: 9.52%
Bank capital and portfolio management : the 1930's "capital crunch" and scramble to shed risk
.
by
Calomiris, Charles W.
; Cambridge: National Bureau of Economic Research, 1998.
Subject:
Bank deposits -- New York (State) -- New York
;
Deposit banking -- New York (State) -- New York -- History -- 20th century -- Econometric models
;
Bank capital -- New York (State) -- New York -- History -- 20th century -- Econometric models
;
Risk management -- New York (State) -- New York -- History -- 20th century -- Econometric models
;
Bank investments -- New York (State) -- New York -- History -- 20th century -- Econometric models
;
Default (Finance) -- New York (State) -- New York -- History -- 20th century -- Econometric models
;
Depressions -- 1929- -- New York (State) -- New York -- History -- 20th century -- Econometric models
.
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Relevance: 7.28%
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