Finance and accounting Books
John Wiley & Sons J.K. Lassers Your Income Tax 2026 For Preparing Your 2024 Tax Return
£18.66
John Wiley & Sons Stock Traders Almanac 2026
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£35.20
John Wiley & Sons Healthy Money Building the Bank of the Future Aro und Financial Health Data Networks and Ecosystems
a huge range and FREE tracked UK delivery on ALL orders.
£28.50
BPP Learning Media FIA Foundations in Taxation FTX FA2020
Book SynopsisSuitable for exams in 2021
£6.75
BPP Learning Media DipIFR Diploma in International Financial
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£999.99
BPP Learning Media FIA Foundations in Financial Management FFM
Book SynopsisSuitable for exams in December 2025 and June 2026
£999.99
BPP Learning Media FIA Management Information MA1
Book SynopsisSuitable for exams from September 2025 until August 2026
£24.70
BPP Learning Media FIA Foundations in Audit International FAU INT
Book SynopsisSuitable for exams in December 2025 and June 2026
£24.70
BPP Learning Media ACCA Corporate and Business Law English
Book SynopsisSuitable for exams from September 2025 until August 2026
£39.90
BPP Learning Media FIA Business and Technology FBT
Book SynopsisSuitable for exams from September 2025 until August 2026
£37.05
Taylor & Francis Inc Introduction to Credit Risk Modeling
Book SynopsisContains Nearly 100 Pages of New MaterialThe recent financial crisis has shown that credit risk in particular and finance in general remain important fields for the application of mathematical concepts to real-life situations. While continuing to focus on common mathematical approaches to model credit portfolios, Introduction to Credit Risk Modeling, Second Edition presents updates on model developments that have occurred since the publication of the best-selling first edition.New to the Second Edition An expanded section on techniques for the generation of loss distributions Introductory sections on new topics, such as spectral risk measures, an axiomatic approach to capital allocation, and nonhomogeneous Markov chains Updated sections on the probability of default, exposure-at-default, loss-given-default, and regulatory capital A new section on multi-period models Recent developments in structured credit The financial crisis illustrated the importance of effectively communicating model outcomes and ensuring that the variation in results is clearly understood by decision makers. The crisis also showed that more modeling and more analysis are superior to only one model. This accessible, self-contained book recommends using a variety of models to shed light on different aspects of the true nature of a credit risk problem, thereby allowing the problem to be viewed from different angles. Trade Review… this is a concise book for exploring the limitations of credit risk models and, to a lesser degree, asset valuation models. Read this book for a companionable journey through some of the limiting assumptions that make the models tractable. … it may be the first one [book] that wastes no time in getting to the point, and moving on.—Annals of Actuarial Science, Vol. 5, June 2011Bluhm, Overbeck, and Wagner offer help to mathematicians and physicists leaving the academy to work as risk or portfolio managers. For this introduction, they focus on main themes rather than details, and on portfolio rather than single obligor risk. … this second [edition] takes account of problems in the banking industry [from] 2007-09.—SciTech Book News, February 2011Having a valid and up-to-date credit risk model (or models) is one of the most important aspects in today’s risk management. The models require quite a bit of technical as well as practical know-how. Introduction to Credit Risk Modeling serves this purpose well. … it would best fit the practitioner’s needs. For students it can also be of great use, as an introductory course for credit risk models. A great first step into credit risk modeling. … The book provides a nice coherent overview of the methods used in capital allocation. … The book is written in a mixture of theorem-proof and applied styles. … I find this rather pleasing, as it gives the reader the edge of theoretical exposition, which is extremely important. … One really useful side of the book is that it provides step-by-step guide to methods presented. This should be really appreciated in industry and among students. …—MAA Reviews, January 2011Praise for the First EditionThis is an outstanding book on the default models that are used internally by financial institutions. This practical book delves into the mathematics, the assumptions and the approximations that practitioners apply to make these models work.—Glyn A. Holton, Contingency AnalysisThere are so many financial tools available today and numbers are likely to grow in the future. If you work in this field of credit risk modeling, it is worth looking at the theoretical background, and this book is a well-rounded introduction.—Journal of the Operational Research SocietyAs an introductory survey, it does an admirable job. … this book is an important guide into the field of credit risk models. Mainly for the practitioner … It is well written, fairly easy to follow.—Horst Behncke, Zentralblatt MATH… this is a concise book for exploring the limitations of credit risk models and, to a lesser degree, asset valuation models. Read this book for a companionable journey through some of the limiting assumptions that make the models tractable. … it may be the first one [book] that wastes no time in getting to the point, and moving on.—Annals of Actuarial Science, Vol. 5, June 2011Bluhm, Overbeck, and Wagner offer help to mathematicians and physicists leaving the academy to work as risk or portfolio managers. For this introduction, they focus on main themes rather than details, and on portfolio rather than single obligor risk. … this second [edition] takes account of problems in the banking industry [from] 2007-09.—SciTech Book News, February 2011Having a valid and up-to-date credit risk model (or models) is one of the most important aspects in today’s risk management. The models require quite a bit of technical as well as practical know-how. Introduction to Credit Risk Modeling serves this purpose well. … it would best fit the practitioner’s needs. For students it can also be of great use, as an introductory course for credit risk models. A great first step into credit risk modeling. … The book provides a nice coherent overview of the methods used in capital allocation. … The book is written in a mixture of theorem-proof and applied styles. … I find this rather pleasing, as it gives the reader the edge of theoretical exposition, which is extremely important. … One really useful side of the book is that it provides step-by-step guide to methods presented. This should be really appreciated in industry and among students. …—MAA Reviews, January 2011Praise for the First EditionThis is an outstanding book on the default models that are used internally by financial institutions. This practical book delves into the mathematics, the assumptions and the approximations that practitioners apply to make these models work.—Glyn A. Holton, Contingency AnalysisThere are so many financial tools available today and numbers are likely to grow in the future. If you work in this field of credit risk modelling it is worth looking at the theoretical background, and this book is a well-rounded introduction.—Journal of the Operational Research SocietyAs an introductory survey it does an admirable job. … this book is an important guide into the field of credit risk models. Mainly for the practitioner … It is well written, fairly easy to follow.—Horst Behncke, Zentralblatt MATHTable of ContentsThe Basics of Credit Risk Management. Modeling Correlated Defaults. Asset Value Models. The CreditRisk+ Model. Risk Measures and Capital Allocation. Term Structure of Default Probability. Credit Derivatives. Collateralized Debt Obligations. References. Index.
£999.99
InterActive World Wide Limited ACCA Advanced Performance Management Study Manual
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£23.75
InterActive World Wide Limited ACCA Performance Management Study Manual 2021-22:
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£23.75
Kaplan Publishing FMA - MANAGEMENT ACCOUNTING - EXAM KIT
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£15.00
Kaplan Publishing RECORDING FINANCIAL TRANSACTIONS - EXAM KIT
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£9.75
Kaplan Publishing MANAGEMENT INFORMATION - POCKET NOTES
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£999.99
Kaplan Publishing MAINTAINING FINANCIAL RECORDS - POCKET NOTES
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£14.87
Kaplan Publishing MANAGEMENT ACCOUNTING: BUDGETING - STUDY TEXT
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£15.00
KAPLAN PUBLISHING PROFESSIONAL DIPLOMA SYNOPTIC TEST ASSES
Book SynopsisAAT Exam Kit 201920.
£999.99
Kaplan Publishing MANAGEMENT ACCOUNTING: BUDGETING - POCKET NOTES
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£6.75
Kaplan Publishing BUSINESS TAX (FA19) - POCKET NOTES
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£999.99
Kaplan Publishing INDIRECT TAX (INDX) (FA20) - EXAM KIT
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£13.50
Kaplan Publishing FINANCIAL MANAGEMENT STUDY TEXT
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£39.60
Kaplan Publishing STRATEGIC BUSINESS LEADER STUDY TEXT
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£42.30
Kaplan Publishing ADVANCED TAXATION - STUDY TEXT
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£39.60
Kaplan Publishing FOUINDATIONS IN TAXATION (FA23) - POCKET NOTES
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£10.00
Kaplan Publishing TAXATION - POCKET NOTES
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£11.40
Kaplan Publishing E1 MANAGING FINANCE IN A DIGITAL WORLD - REVISION
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£13.30
Kaplan Publishing LEVEL 4 EPA FAMILIARISATION AND PRACTICE (PDSY) -
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£17.10
Kaplan Publishing PERSONAL TAX (FA23) - STUDY TEXT
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£999.99
Kaplan Publishing BUSINESS TAX (FA23) - EXAM KIT
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£999.99
Kaplan Publishing BUSINESS TAX (FA23) - POCKET NOTES
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£10.00
Kaplan Publishing FFM FOUNDATIONS IN FINANCIAL MANAGEMENT STUDY
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£999.99
Kaplan Publishing FAU FOUNDATIONS IN AUDIT EXAM KIT
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£999.99
Kaplan Publishing TAXATION FA24 EXAM KIT
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£999.99
Kaplan Publishing MA1 MANAGEMENT INFORMATION POCKET NOTES
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£10.00
Kaplan Publishing MA2 MANAGING COSTS AND FINANCE POCKET NOTES
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£10.00
Kaplan Publishing FFM FOUNDATIONS IN FINANCIAL MANAGEMENT POCKET
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£10.00
Kaplan Publishing TAX PROCESSES FOR BUSINESS FA24 STUDY TEXT
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£999.99
Kaplan Publishing TAX PROCESSES FOR BUSINESS FA24 POCKET NOTES
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£10.00
Greenwich Exchange Ltd Making Tax Digital
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£7.82
Osborne Books Ltd PRINCIPLES OF COSTING WORKBOOK
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£16.15
Osborne Books Ltd TRHE BUSINESS ENVIRONMENT AND CERTIFICATE
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£16.15
Osborne Books Ltd BUSINESS AWARENESS WORKBOOK
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£16.15
Osborne Books Ltd DRAFTING AND INTERPRETING FINANCIAL STATEMENTS
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£16.15
Osborne Books Ltd AUDIT AND ASSURANCE WORKBOOK
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£16.15
Osborne Books Ltd INTRODUCTION TO BOOKKEEPING WISE GUIDE
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£12.00
Osborne Books Ltd MANAGEMENT ACCOUNTING TECHNIQUES WISEGUIDE
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£12.00