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Credit Derivatives: Where’s the Risk?: A Reprint from the “Economic Review”
Credit Derivatives: Where’s the Risk?: A Reprint f

 
Our Price: $30.00
By David Mengle (au); Michael S. Gibson (au); Tim Weithers (au)
Year: 2007
Pages: 69
Binding Paperback

Product Code: 1437912737

Description
 
Contents: (1) “Credit Derivatives (CD): An Overview,”. Examines the mechanics, risks, and market for credit default swaps, provides an overview of pricing and dealers’ risk-mgmt. role, and discusses the costs and benefits of CD. (2) “CD and Risk Mgmt.,”. Illustrates CD value with 3 examples: a commercial bank using CD to manage loan portfolio risk; an invest. bank using them to manage the risks of underwriting securities; and an investor using them to align credit risk exposure with a desired credit risk profile. (3) “CD, Macro Risks, and Systemic Risks,”. Examines the macro drivers of credit generally; enumerates frequently cited concerns with CD; and considers the possibilities of associated systemic risk. Tables and graphs.

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