(Hardback)
By: Alex O. Williams
ISBN: 9780899300580
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Readership/Audience: Tertiary Education
Publication Date: Dec 1987
Publisher: Bloomsbury Publishing PLC
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He then examines four systems for analyzing portfolio risk: the regression method of mortgage risk analysis, the linear probability model, cohort analysis of delinquency risk, and a discriminant functional classification model used to measure default risk.
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