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Credit Derivatives: Trading, Investing,and Risk Management

by Geoff Chaplin
Save 35% Save 35%
Current price ₹7,310.00
Original price ₹11,246.00
Original price ₹11,246.00
Original price ₹11,246.00
(-35%)
₹7,310.00
Current price ₹7,310.00

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Book cover type: Hardcover
  • ISBN13: 9780470686447
  • Binding: Hardcover
  • Subject: Business Management
  • Publisher: Wiley
  • Publisher Imprint: John Wiley
  • Publication Date:
  • Pages: 408
  • Original Price: USD 118.0
  • Language: English
  • Edition: N/A
  • Item Weight: 840 grams
  • BISAC Subject(s): Finance / General, Investments & Securities / General, and Personal Finance / Investing

From the Inside Flap

Credit derivatives

"Geoff has pulled out all the stops to create the ultimate guide to OTC credit. A fantastic introduction to structured credit combined with insightful analysis on the issues affecting the industry today."

Simon Mott, Head of Marketing, Credit Market Analysis

"Practical, clear, useful and thorough - the second edition brings the book up to date and gives anyone with an interest in credit derivatives (investors, risk managers, traders, senior management, auditors and control functions) a sound knowledge of the subject."

Robert Baker, Reoch Credit Partners

"The first edition has become somewhat of a 'must have' on the shelf of anyone interested in credit derivatives. Unlike a lot of his peers, Geoff Chaplin manages to write a book in a way that is both easily accessible and practically useful; and without economizing on the academic rigour. I found it both eminently readable and peppered with realistic examples. Furthermore it challenges the reader to discover the intricacies of the credit derivative market for themselves by providing them with industry standard tools. The new addition updates the reader on the more recent developments in the credit derivative market; touching upon both the rationale as well as the math. I cannot recommend it more highly!"

Darren Smith, Head of Credit Structuring, WestLB A

G

GEOFF CHAPLIN studied mathematics at Cambridge (MA 1972) and Oxford (MSc 1973, DPhil 1975) and trained as an actuary (FFA 1978) while working in a life insurance company. He moved to the City in 1980 and has worked for major banks (including HSBC, Nomura International, and ABN AMRO). As a partner in Reoch Credit he has consulted to law firms, hedge funds, corporate treasurers, institutional investment funds and risk control departments of major banks in the areas of credit and mortality risk. He has been involved in the credit derivatives market since 1996 and life settlements structures since 2003. Geoff has also maintained strong academic interests - he was a visiting (emeritus) professor at the University of Waterloo, Canada, from 1987 until 1999. He has also published many articles in Risk, the Journal of the Institute and Faculty of Actuaries, and others, speaks regularly at conferences and is the author of Credit Derivatives: Risk Management, Trading and Investing (John Wiley & Sons Ltd, 2005) and co-author of Life Settlements and Longevity Structures: Pricing and Risk Management: Investment and Structured Finance (John Wiley & Sons Ltd, 2009).

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