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Default Risk in Bond and Credit Derivatives Markets

Jezik EngleskiEngleski
Knjiga Meki uvez
Knjiga Default Risk in Bond and Credit Derivatives Markets C. Benkert
Libristo kod: 01559392
Due to the scarcity of reliable data, the existing literature on default risk still displays an imba... Cijeli opis
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Due to the scarcity of reliable data, the existing literature on default risk still displays an imbalance between theoretical and empirical contributions. Consequently, the focus of this book is on empirical work. Within an intensity based modelling framework a broad range of promising specifications is tested using corporate bond data. The book provides one of the most comprehensive empirical studies in the field, from Kalman filtration of affine term structure models to the use of Efficient Method of Moments estimation of dynamic term structure models in a default risky context. Filling another gap in empirical research, the book devotes special attention to the identification factors that can explain credit default swap premia. TOC:Introduction.- On the Economic Content of Models of Default Risk.- Intensity-based Modeling of Default.- The Empirical Performance of Reduced-Form Models of Default Risk.- Explaining Credit Default Swap Premia.- Conclusion.

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Informacije o knjizi

Puni naziv Default Risk in Bond and Credit Derivatives Markets
Autor C. Benkert
Jezik Engleski
Uvez Knjiga - Meki uvez
Datum izdanja 2004
Broj stranica 135
EAN 9783540220411
ISBN 3540220410
Libristo kod 01559392
Težina 490
Dimenzije 155 x 235 x 9
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