Risk Management and

Financial Institutions, 6th Edition

ISBN: 978-1-119-93248-2

 

Accompanying Software:

 

Download worksheet for cumulative bivariate normal distribution

 

Download worksheet for calculating eigenvectors and eigenvalues

 

Download worksheet for principal components analysis calculation

 

Download worksheet for manipulation of credit transition matrices

 

Download worksheet with Gaussian Quadrature Weights and Values

 

Download RMFI Software