Author: Royal Bank of England Institute
Publisher:
Publish Date: 2003-03-01
Features: The Financial Risk Management Translation Series was meticulously planned and designed by the Royal Bank of England Institute over a period of two years. It was written by professionals with extensive practical experience and senior training experts in relevant fields, and translated by outstanding domestic experts and scholars organized by the National Academy of Accounting. This series is specifically designed for senior financial personnel in enterprises, professionals in financial institutions, and professional investors and analysts. Its content covers the main areas of financial risks involved in corporate operations and financial businesses. Each series elaborates on important concepts in detail and provides specific examples to illustrate the role of these theories in modern international business.
Credit Risk Management
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