Credit Analyst's Survival Manual - Chris Droussiotis, Stuart Shelly

Credit Analyst's Survival Manual

A Practitioner's Guide to Active Credit Risk Management and Analysis
Buch | Softcover
416 Seiten
2024
Cognella, Inc (Verlag)
979-8-8233-0651-5 (ISBN)
85,95 inkl. MwSt
Whether you’re just beginning your career in finance or you’re an experienced analyst interested in taking your skills to the next level, Credit Analyst’s Survival Manual: A Practitioner’s Guide to Active Credit Risk Management and Analysis is an enlightening and essential resource for today’s banking professionals.
Whether you're just beginning your career in finance or you're an experienced analyst interested in taking your skills to the next level, Credit Analyst's Survival Manual: A Practitioner's Guide to Active Credit Risk Management and Analysis is an enlightening and essential resource for today's banking professionals.

Finance experts Chris Droussiotis and Stuart Shelly provide you with a comprehensive guide designed to help you build a solid knowledge base in credit risk management and analysis and successfully navigate the recent turmoil in the banking industry.

You'll learn how to assess credit risk on various banking products, analyze financial statements, build financial models, and develop effective credit strategies that minimize risk and maximize returns.

Through practical advice, real-world case studies, and insight from veteran bankers with more than 30 years of experience, you'll learn everything you need to know to succeed in the dynamic and challenging field of finance.

Chris Droussiotis possesses over 30 years of experience in investment banking, having worked for numerous corporations in various executive management positions such as Bank of America Merill Lynch, CIBC Oppenheimer, Mizuho Financial Group, Bank of Tokyo-Mitsubishi Trust UFJ, Sumitomo Mitsui Banking Corporation, and Mitsui Nevitt Banking Corporation. Stuart Shelly is the founder of Transitional Capital Management, a boutique private investment firm focused on developing alternative credit portfolios for institutional investors. He has over 30 years of experience in investment banking and has worked for numerous corporations in various executive management positions, including Bank of America Merill Lynch, KPMG BayMark, Bank of Montreal, and GE Capital.

Erscheinungsdatum
Verlagsort San Diego
Sprache englisch
Maße 152 x 229 mm
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Bankbetriebslehre
Betriebswirtschaft / Management Spezielle Betriebswirtschaftslehre Versicherungsbetriebslehre
ISBN-13 979-8-8233-0651-5 / 9798823306515
Zustand Neuware
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