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      xVA Challenge

      A Valuation Adjustment Framework for Modern Derivatives Markets

      AvJon Gregory

      Inbunden, Engelska, 2026

      Del i serien Wiley Finance

      997 kr

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      Inbunden

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      E-bok

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      Beskrivning

      The definitive guide to counterparty risk and valuation adjustments, updated and revisedIn the newly revised fifth edition of The xVA Challenge, veteran quantitative finance and counterparty credit risk expert Jon Gregory delivers an authoritative roadmap to navigating counterparty risk, funding, collateral, capital, and initial margin. He draws on his extensive experience as a former senior practitioner at Barclays Capital, BNP Paribas, and Citigroup to walk you through the most urgent challenges facing risk managers, traders, and derivatives practitioners right now.The book explores the latest developments in xVA methodology and practice, guiding you through advanced compression tools for counterparty risk optimisation, detailed ColVA analysis with real-world examples, and the evolving mandate of xVA desks in volatile market conditions. It examines FRTB-CVA implementation challenges, current approaches to KVA and MVA in banking operations, and cutting-edge machine learning and algorithmic differentiation techniques.You’ll also find: Comprehensive coverage of all xVA components including CVA, DVA, FVA, ColVA, KVA, and MVA with practical implementation guidanceDetailed analyses of FRTB-CVA regulatory requirements and SA-CVA model development for regulatory approvalAdvanced compression techniques and optimization strategies for managing counterparty risk and xVA exposureReal-world case studies and examples demonstrating ColVA applications and xVA desk operations during market volatilityState-of-the-art computational methods including machine learning approaches and algorithmic differentiation for enhanced calculation efficiencyPerfect for risk managers, traders, derivatives practitioners, and financial regulators, The xVA Challenge, Fifth Edition, offers essential updates and practical tools that contemporary finance professionals need to effectively implement xVA frameworks, optimise counterparty risk management, and navigate an increasingly fraught regulatory landscape.

      Produktinformation

      • Utgivningsdatum:2026-07-02
      • Mått:178 x 249 x 43 mm
      • Vikt:0 g
      • Format:Inbunden
      • Språk:Engelska
      • Serie:Wiley Finance
      • Antal sidor:720
      • Upplaga:5
      • Förlag:John Wiley & Sons Inc
      • ISBN:9781394354450

      Utforska kategorier

      • Finansiering inom Ekonomi och Ledarskap

      Mer om författaren

      JON GREGORY, PHD, is an independent expert specialising in counterparty credit risk and related aspects, including CVA, FVA, collateral regulatory capital, initial margin, and central clearing. He is a consultant to the World Bank Group, serves as senior advisor for Solum Financial Derivatives Advisory and is a faculty member for the Certificate of Quantitative Finance. He holds a PhD from Cambridge University and has worked extensively on credit risk aspects at Barclays Capital, BNP Paribas, and Citigroup. Widely acknowledged as a pioneer in the credit area, he runs bespoke training courses and workshops for financial institutions worldwide.

      Innehållsförteckning

      • List of Spreadsheets xixList of Appendices xxiAcknowledgements xxiiiAbout the Author xxvPart I Background1 Introduction 32 Derivatives 52.1 Introduction 52.2 The Derivatives Market 72.3 Derivative Risks 192.4 Central Clearing 242.5 Derivatives Risk Modelling 293 Counterparty Risk and xVA 353.1 Counterparty Risk 353.2 Beyond Counterparty Risk 483.3 Components of xVA 514 Regulation 574.1 Capital Requirements 584.2 Backstops and Complementary Measures 654.3 Liquidity 684.4 Clearing and Margining 745 What Is xVA? 815.1 Overview 815.2 Anatomy of xVA 825.3 Valuation 915.4 Pricing 100Part II Counterparty Risk Mitigation6 Netting, Close-Out and Related Aspects 1136.1 Overview 1136.2 Cash Flow Netting 1146.3 Netting in Default 1237 Collateral, Margin and Settlement 1337.1 Termination and Reset Features 1337.2 Basics of Collateralisation 1377.3 Collateral Terms 1447.4 Standard CSAs 1547.5 Impact of Collateral 1598 Central Clearing 1678.1 Evolution of Central Clearing 1678.2 CCP Risk Management 1788.3 Impact of Central Clearing 1859 Initial Margin Methodologies 1919.1 Overview 1919.2 SPAN 2009.3 Historical Simulation 2069.4 Bilateral Initial Margin and the ISDA-SIMM 218Part III Building Blocks10 Future Value and Exposure 23510.1 Credit Exposure 23510.2 Drivers of Exposure 24310.3 Portfolio Effects and the Impact of Collateral 25310.4 Funding, Rehypothecation and Segregation 26511 Curves 27311.1 Default Probability 27311.2 Credit Curve Mapping 28011.3 Funding and Capital 29112 Regulatory Methodologies 30712.1 Overview 30712.2 Credit Risk (Default Risk) Capital 31012.3 CVA Risk 31212.4 Exposure Calculation Methodologies 32212.5 Examples 33712.6 CCP Capital Requirements 348Part IV Valuation Adjustments13 Discounting and Collateral 35513.1 Overview 35513.2 The Starting Point 35713.3 ColVA and Discounting 36013.4 Beyond Perfect Collateralisation 37414 CVA and DVA 37914.1 Overview 37914.2 Credit Valuation Adjustment 38014.3 Debt Valuation Adjustment 38814.4 Risk Mitigants 39515 FVA 40315.1 Overview 40315.2 FVA Background 40415.3 Portfolio FVA 42316 Capital and KVA 43716.1 Overview 43716.2 Capital Valuation Adjustment 43816.3 Management of KVA 45116.4 KVA Overlaps 45917 Initial Margin and MVA 46317.1 Overview 46317.2 Initial Margin Funding Costs 46417.3 MVA Market Practice 47417.4 MVA Overlaps 479Part V Modelling and Management18 Credit Curve Quantification 48518.1 Proxy Curves 48518.2 Loss Given Default 50019 Managing xVA 50719.1 The Role of An xVA Desk 50719.2 Hedging 51519.3 Operation of An xVA Desk 53620 Quantifying Exposure: First-Generation Approaches 54920.1 Overview 54920.2 Monte Carlo Methodology 55220.3 Choice of Models 56120.4 Collateral Modelling 57320.5 Examples 58021 Quantifying Exposure: Second-Generation Approaches 59921.1 Wrong-Way Risk I 59921.2 Wrong-Way Risk II 61021.3 Speeding Up xVA Calculations 61921.4 Second-Generation xVAs (MVA and KVA) 63221.5 Modelling Future Sensitivities 635Glossary 645General Terminology 649References 651Index 667
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