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Morton Glantz

Morton GlantzProfessor Morton Glantz serves as a financial consultant, educator, and adviser to a broad spectrum of professionals, including corporate financial executives, government ministers, privatization managers, investment and commercial bankers, public acounting firms, members of merger and acquisition teams, strategic planning executives, management consultants, attorneys, and representatives of foreign governments and international banks. Professor Morton Glantz is a principal of Real Consulting and Real Options Valuation, firms specializing in risk consulting, training, certification, and advanced analytical software in the areas of risk quantification, analysis, and management solutions.

As a JP Morgan Chase (heritage bank) senior banker, Professor Glantz built a progressive career path specializing in credit analysis and credit risk management, risk grading systems, valuation models, and professional training. He was instrumental in the reorganization and development of the credit analysis module of the Bank’s Management Training Program-Finance, which at the time was recognized as one of the foremost training programs in the banking industry.

Professor Glantz is on the (adjunct) finance faculty of the Fordham Graduate School of Business. He has appeared in the Harvard University International Directory of Business and Management Scholars and Research, and has earned Fordham University Deans Award for Faculty Excellence on three occasions. He is a Board Member of the International Standards Board, International Institute of Professional Education and Research (IIPER). The IIPER is a global institute with partners and offices around the world, including the United States, Switzerland, Hong Kong, Mexico, Portugal, Singapore, Nigeria, and Malaysia. Professor Glantz is widely published in financial journals and has authored 8 books.

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1.
Credit Engineering for Bankers
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AED249
Binding:
Hardback
Release:
25 Nov 2010
Language:
English
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2.
Managing Bank Risk
Publisher: Academic Press
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AED0
Binding:
Digital (delivered electronically)
Release:
01 Dec 2002
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3.
Credit Engineering for Bankers
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Digital (delivered electronically)
Release:
20 Oct 2010
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4.
Credit Engineering for Bankers
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AED297
Binding:
Paperback
Release:
01 Nov 2010
Language:
English
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5.
Optimal Trading Strategies
Publisher: Amacom
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AED224
Binding:
Hardback
Release:
09 Jul 2003
Language:
English
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6.
Multi-Asset Risk Modeling
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AED344
Binding:
Digital (delivered electronically)
Release:
14 May 2014
Language:
English
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7.
Scientific Financial Management
Publisher: Amacom
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AED29
Binding:
Digital (delivered electronically)
Release:
/12/2000
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8.
Loan Risk Management
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AED250
Binding:
Hardback
Release:
01 Jan 1994
Language:
English
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9.
Multi-Asset Risk Modeling
Publisher: Academic Press
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AED22
Binding:
Digital (delivered electronically)
Release:
01 Jan 2013
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10.
Scientific Financial Management
Publisher: Amacom
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AED254
Binding:
Hardback
Release:
02 Oct 2000
Language:
English
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11.
Credit Engineering for Bankers
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AED310
Binding:
Digital (delivered electronically)
Release:
14 May 2014
Language:
English
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12.
Credit Derivatives
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AED34
Binding:
Digital (delivered electronically)
Release:
10 Oct 2006
Language:
English
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13.
The Banker's Handbook on Credit Risk
Publisher: Academic Press
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AED29
Binding:
Digital (delivered electronically)
Release:
14 May 2014
Language:
English
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14.
Banker's Handbook on Credit Risk
Publisher: Academic Press
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AED383
Binding:
Digital (delivered electronically)
Release:
12 Sep 2008
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15.
Credit Engineering for Bankers
Publisher: Academic Press
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AED371
Binding:
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Release:
01 Jan 2010
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16.
Credit Derivatives
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AED169
Binding:
Hardback
Release:
16 Jan 2007
Language:
English
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