The Credit Portfolio Management by the Econometric Models: A Theoretical Analysis
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- Abdelkader Derbali, 2018. "The credit portfolio management by the econometric models: A theoretical analysis," Working Papers hal-01696010, HAL.
References listed on IDEAS
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- Crouhy, Michel & Galai, Dan & Mark, Robert, 2000. "A comparative analysis of current credit risk models," Journal of Banking & Finance, Elsevier, vol. 24(1-2), pages 59-117, January.
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Keywords
Risk management; Credit risk; Default probability; Credit Portfolio View;All these keywords.
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