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"Chapter 13 Credit analysis"
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Martin Fridson & Fernando Alvarez – Financial Statement Analysis A Practitioner's Guide

Martin Fridson, Fernando Alvarez - Financial Statement Analysis A Practitioner's GuideDescriptionAn updated guide to the essential discipline of financial statement analysisIn Financial Statement Analysis, Fourth Edition, leading investment authority Martin Fridson returns with Fernando Alvarez to provide...


Carol Alexander – Market Risk Analysis Vol. IV. Value-At-Risk Models

Carol Alexander – Market Risk Analysis Vol. IV. Value-At-Risk Models Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of theMarket Risk Analysis four volume set. Building on the three previous volumes...


David R.Kotok – Invest In Europe Now!

David R.Kotok - Invest in Europe Now!DescriptionAn insider's guide to investing in EuropeWith the U.S. market in shambles, investors are looking for other places to put their money. Europe has become the destination of choice, and...


Kevin Dowd – Measuring Market Risk

Kevin Dowd - Measuring Market RiskDescriptionFully revised and restructured, Measuring Market Risk, Second Edition includes a new chapter on options risk management, as well as substantial new information on parametric risk, non-parametric measurements, and liquidity risks, more practical information...


Michael C. Thomsett – Visual Guide to Candlestick Charting

Michael C. Thomsett – Visual Guide to Candlestick Charting DESCRIPTION The easy-to-use guide to interpreting candlestick charts and derivative markets Candlestick charts are an effective way of visualizing price movements and, due to the increased interest...


Lars Jaeger – Alternative Beta Strategies & Hedge Fund Replication

Alternative Beta Strategies & Hedge Fund ReplicationThere s a buzzword that has quickly captured the imagination of product providers and investors alike: "hedge fund replication". In the broadest sense, replicating hedge fund strategies means replicating their...


Jonathan A.Batten – European Fixed Income Markets

Jonathan A.Batten - European Fixed Income MarketsDescriptionThe introduction of the euro in 1999 cast a new focus on the financial markets of constituent euro-zone countries, which have subsequently emerged with the second largest bond market in...


Ari Kiev – Mastering Trading Stress

Mastering Trading Stress - Strategies for Maximizing Performance In Mastering Trading Stress, author Ari Kiev—a psychiatrist who specializes in stress management and works extensively with traders—offers examples, transcripts of conversations, and personality profiles of real-life traders to...


Richard R.Lindsey – How I Became A Quant

Richard R.Lindsey - How I Became a QuantDescriptionPraise for How I Became a Quant"Led by two top-notch quants, Richard R. Lindsey and Barry Schachter, How I Became a Quant details the quirky world of quantitative analysis...


Wallstreetprep – Crash Course in Bonds and Debt

Wall Street Prep – Crash Course in Bonds A step-by-step course designed for those pursuing a career in fixed income research, investments, sales, and trading or investment banking (debt capital markets). This course will teach you...

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