A dynamic model approach of securitization and the financial crisis
Year of publication: |
2016
|
---|---|
Authors: | Mpundu, Mubanga |
Published in: |
International journal of economics and financial issues : IJEFI. - Mersin : EconJournals, ISSN 2146-4138, ZDB-ID 2632572-X. - Vol. 6.2016, 4, p. 1873-1883
|
Subject: | Assets | Credit | Derivatives | Dynamic | Static | Credit Risk | Kreditrisiko | Credit risk | Finanzkrise | Financial crisis | Derivat | Derivative | Verbriefung | Securitization | Theorie | Theory | Portfolio-Management | Portfolio selection |
-
Boom-bust cycles : leveraging, complex securities, and asset prices
Semmler, Willi, (2012)
-
Hamerle, Alfred, (2013)
-
Credit derivatives and loan yields
Azam, Nimita, (2022)
- More ...
-
Analysis of household debt in South Africa pre- and post-low-quality asset financial crisis
Kereeditse, Michelle Koketso, (2021)
-
Analysis of bank failure : an application of cvar methodology on liquidity
Mpundu, Mubanga, (2017)
-
Mpundu, Mubanga, (2022)
- More ...