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Modelling German Covered Bonds




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Dettagli

Genere:Libro
Lingua: Inglese
Pubblicazione: 10/2018
Edizione: 1st ed. 2018





Trama

Manuela Spangler deals with the default risk modelling of German covered bonds (Pfandbriefe). Existing credit risk models are not suitable for this purpose as they only consider the creditworthiness of the issuer while product-specific features are not taken into account. The author develops a multi-period simulation-based Pfandbrief model which adequately accounts for the product’s most important characteristics and risks. The model provides a flexible framework for structural analyses and can be easily extended for tailor-made investigations. While the focus of the work is on the specification of the model itself, simulation results from an exemplary model calibration are also discussed.

About the Author

Manuela Spangler works as a quantitative risk analyst for a large asset management company and holds a PhD in mathematics from the University of Augsburg. Prior to her current position, she worked as a risk manager and financial engineer in the banking and insurance sector for various years.





Sommario

Pfandbrief Characteristics.- Credit Risk Models: A Literature Review.- The Pfandbrief Model.- Model Calibration and Scenario Generation.- Simulation Results.




Autore

Manuela Spangler works as a quantitative risk analyst for a large asset management company and holds a PhD in mathematics from the University of Augsburg. Prior to her current position, she worked as a risk manager and financial engineer in the banking and insurance sector for various years.











Altre Informazioni

ISBN:

9783658239145

Condizione: Nuovo
Collana: Mathematische Optimierung und Wirtschaftsmathematik | Mathematical Optimization and Economathematics
Dimensioni: 210 x 148 mm Ø 454 gr
Formato: Brossura
Illustration Notes:XV, 266 p. 65 illus.
Pagine Arabe: 266
Pagine Romane: xv


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