This is the only practical book that specifically guides bankers through the analysis and management of the peculiar credit risks of counterparties in emerging economies. Each chapter features a one-page overview that introduces its subject and its outcomes. Chapters include summaries, review questions, references, and endnotes.
- Emphasizes bank credit risk issues peculiar to emerging economies
- Explains how to attain asset and portfolio quality through efficient lending and credit risk management in high risk-prone emerging economies
- Presents a simple structure, devoid of complex models, for creating, assessing and managing credit and portfolio risks in emerging economies
- Provides credit risk impact mitigation strategies in line with the Basel Accords
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