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Managing bankruptcy and default risk / by Peter Woodlock and Ramesh Dangol

By: Woodlock, Peter.
Contributor(s): Dangol, Ramesh.
Series: Journal of Corporate Accounting & Finance.Publisher: USA, Wiley, Edition: 26 (1), November/December 2014.Description: 33-38, 6 pages.Subject(s): Bankruptcy | Risk managementOnline resources: Download from Online Journals Summary: Discusses various default/bankruptcy scoring models that a firm can use to measure risk for key customers, suppliers and investees. Highlights strategies a firm can employ to limit bankruptcy and default risk exposure to bankruptcy filings by a firm's key stakeholders.
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Discusses various default/bankruptcy scoring models that a firm can use to measure risk for key customers, suppliers and investees. Highlights strategies a firm can employ to limit bankruptcy and default risk exposure to bankruptcy filings by a firm's key stakeholders.

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