Altman, Edward I., 1941-
Altman, Edward I.
Altman, Edward Ira, 1941-....
Edward Altman
Altman, Edward
אלטמן, אדוארד, 1941-
VIAF ID: 108491488 ( Personal )
Permalink: http://viaf.org/viaf/108491488
Preferred Forms
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- 200 _ | ‡a Altman ‡b Edward Ira ‡f 1941-....
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- 100 1 _ ‡a Altman, Edward I, ‡d 1941-
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- 100 1 _ ‡a Altman, Edward I.
- 100 1 _ ‡a Altman, Edward I.
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- 100 1 _ ‡a Altman, Edward I. ‡d 1941-
- 100 1 _ ‡a Altman, Edward I. ‡d 1941-
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- 100 1 0 ‡a Altman, Edward I., ‡d 1941-
- 100 1 _ ‡a Altman, Edward Ira, ‡d 1941-....
- 100 0 _ ‡a Edward Altman
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4xx's: Alternate Name Forms (37)
5xx's: Related Names (5)
- 510 2 _ ‡a Centrale dei Bilanci ‡g Turin ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Leonard N. Stern School of Business
- 510 2 _ ‡a Leonard N. Stern School of Business ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Salomon Brothers Center for the Study of Financial Institutions ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a University of California, Los Angeles
Works
Title | Sources |
---|---|
Advanced IT tools : IFIP World Conference on IT Tools, 2-6 September 1996, Canberra, Australia | |
Application of classification techniques in business, banking, and finance | |
Bankruptcy & distressed restructurings : analytical issues and investment opportunities | |
Bankruptcy, credit risk, and high yield junk bonds | |
Benchmarking the timeliness of credit agency ratings with credit score models | |
Business failure classification models : an international survey | |
Comparing value line's relative financial strength system with the Zeta bankruptcy classification approach | |
Corporate bond and commercial loan portfolio analysis | |
Corporate bond rating drift : an examination of credit quality rating changes over time | |
Corporate financial distress | |
Corporate financial distress and bankruptcy | |
Creating value through corporate restructuring : case studies in bankruptcies, buyouts, and breakups | |
Credit analysis : a complete guide | |
Credit analysis of nontraditional debt securities : December 7, 1994, Philadelphia, Pennsylvania | |
Credit markets and bubbles : is the benign credit cycle over? | |
Credit risk assessment and relationship lending | |
Default rates in the syndicated bank loan market : a mortality analysis | |
Default risk, mortality rates, and the performance of corporate bonds | |
Defaults and returns on high yield bonds : analysis through 2001 | |
Distressed securities : analyzing and evaluating market potential and investment risk | |
The equity performance of firms emerging from bankruptcy | |
The Fair value of insurance liabilities | |
Financial and nonfinancial variables as long-horizon predictors of bankruptcy | |
Financial crises : institutions and markets in a fragile environment | |
The financial dynamics of the insurance industry | |
Financial handbook | |
High-yield bonds : analysis and risk assessment : January 24, 1990, Cambridge, Massachusetts | |
The High-yield debt market : investment performance and economic impact | |
Influence of migration policies on the dynamics of credit agency ratings | |
Investing in junk bonds : inside the high yield debt market | |
The investment performance of defaulted bonds and bank loans : 1987-1997 and market outlook | |
Janku bondo | |
Kigyō tōsan | |
Kurejitto risuku manejimento | |
L'Estimation du risque d'investissement en valeurs mobilières sur la Bourse de Paris : 1964-1971 | |
The link between default and recovery rates : effects on the procyclicality of regulatory capital ratios | |
The "make and take" decision in an electronic market : evidence on the evolution of liquidity | |
Managing and measuring risk : emerging global standards and regulation after the financial crisis | |
Managing credit risk : the next great financial challenge | |
Medición integral del riesgo de crédito | |
The prediction of corporate bankruptcy, 1988: | |
Rating migration of corporate bonds : comparative results and investor-lender implications | |
La Rentabilité et le risque des secteurs industriels à la Bourse de Paris : 1962-1971 | |
Revisiting credit scoring models in a Basel 2 environment | |
Special issue on Credit ratings and the proposed new bis guidelines on capital adequacy for bank credit assets | |
Stanovení hodnoty firem | |
Toward a bottom-up approach to assessing sovereign default risk : an update | |
Trudności finansowe a upadłość firm : jak przewidzieć upadłość i jej uniknąć, jak analizować i inwestować w zadłużenie firm zagrożonych | |
Two thousand fifteen Honorary Doctor of SGH Warsaw School of Economics : selected articles | |
Validité de la méthode des ratios | |
Zeta analysis : a new model to identity bankruptcy risk of corporations | |
기업도산에 관한 완벽한 지침서 | |
신용위험관리 | |
현대대기업의 도산 | |
クレジットリスクマネジメント | |
ジャンク・ボンド : 高利回り債券の投資戦略 | |
企業倒産 | |
現代大企業の倒産 その原因と予知モデルの包括的研究 |