第1 章 信用风险:全球经济的巨大挑战 ·························································· 1
原书参考文献 ................................................................................................................. 16
第2 章 信用文化 ····················································································· 18
原书参考文献 ................................................................................................................. 30
第3 章 传统金融行业参与者:银行、储蓄机构、保险公司、金融公司和
特殊目的实体 ··············································································· 32
原书参考文献 .................................................................................................................. 45
第4 章 组合管理者:投资管理者、共同基金、养老基金和对冲基金 ···················· 46
原书参考文献 .................................................................................................................. 52
第5 章 结构化中枢:清算所、衍生产品交易商和交易所 ·································· 53
原书参考文献 .................................................................................................................. 61
第6 章 评级机构 ................................................................................................................... 63
原书参考文献 .................................................................................................................. 79
第7 章 古典信用分析 ·············································································· 81
原书参考文献 ................................................................................................................. 91
第8 章 资产保证型贷款和融资租赁 ····························································· 92
原书参考文献 ................................................................................................................. 99
第9 章 信用风险模型简介 ········································································ 100
原书参考文献 ............................................................................................................... 108
第10 章 基于会计数据和市场价值的信用风险模型 ········································· 109
原书参考文献 ............................................................................................................... 161
第11章 基于股票价格的企业信用风险模型.............................................146
第12 章 消费者金融模型 ········································································· 164
原书参考文献 ............................................................................................................... 181
第13 章 小企业、房地产和金融机构的信用模型 ············································ 183
原书参考文献 ............................................................................................................... 193
第14 章 信用风险模型的测试与实施 ··························································· 195
原书参考文献 ................................................................................................................ 206
第15 章 关于公司违约率 ········································································· 207
原书参考文献 ................................................................................................................ 229
第16 章 信用风险建模与实践中的违约回收率和违约损失率 ····························· 231
原书参考文献 ............................................................................................................... 252
第17 章 信用风险迁移 ············································································ 258
原书参考文献 ............................................................................................................... 268
第18 章 投资组合方法介绍 ······································································ 271
原书参考文献 ................................................................................................................ 289
第19 章 经济资本与资本配置 ........................................................................................... 291
原书参考文献 ................................................................................................................ 303
第20 章 投资组合方法的应用 ··································································· 305
原书参考文献 ................................................................................................................ 337
第21 章 信用衍生产品 ············································································ 343
原书参考文献 ............................................................................................................... 364
第22 章 交易对手风险 ············································································ 365
原书参考文献 ............................................................................................................... 380
第23 章 国家风险模型 ...................................................................................................... 382
原书参考文献 ................................................................................................................ 396
第24 章 结构化金融 .......................................................................................................... 399
原书参考文献 ................................................................................................................ 425
第25 章 新市场,新玩家,新玩法................................................................................... 428
原书参考文献 ............................................................................................................... 448
第26 章 市场混乱,均值回归 ··································································· 451