EXEMPLO
Jeyda Muharrem:Risk Management in Banking, particularly operational risk
- nuovo livro 2, ISBN: 9783656120247
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analyse… mais…
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agreements are analysed to show their effectiveness in decreasing operational risk. The Capital Asset Pricing Model and The Modern Portfolio Theory are also used to show how bankers attempt to mitigate risk by diversification. The concept of duration, int Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agreements are analysed to show their effectiveness in decreasing operational risk. The Capital Asset Pricing Model and The Modern Portfolio Theory are also used to show how bankers attempt to mitigate risk by diversification. The concept of duration, interest-sensitive gap management and hedging tools are mentioned to demonstrate methods of interest rate risk management. This report analyses the operational risk cases of UBS, Herstatt, Barings and Société Générale. The differences and similarities of these cases are discussed. The report then draws conclusions what has been learned and what can be done to attempt to avoid rogue trading. [.] Banks & Banking, Finance & Investing, Risk Management in Banking, particularly operational risk~~ Jeyda Muharrem~~Banks & Banking~~Finance & Investing~~9783656120247, de, Risk Management in Banking, particularly operational risk, Jeyda Muharrem, 9783656120247, GRIN Verlag, 02/03/2012, , , , GRIN Verlag, 02/03/2012<
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Jeyda Muharrem:Risk Management in Banking, particularly operational risk
- nuovo livro 2, ISBN: 9783656120247
In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agreements are analysed to show their effectiveness … mais…
In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agreements are analysed to show their effectiveness in decreasing operational risk. The Capital Asset Pricing Model and The Modern Portfolio Theory are also used to show how bankers attempt to mitigate risk by diversification. The concept of duration, interest-sensitive gap management and hedging tools are mentioned to demonstrate methods of interest rate risk ma In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agreements are analysed to show their effectiveness in decreasing operational risk. The Capital Asset Pricing Model and The Modern Portfolio Theory are also used to show how bankers attempt to mitigate risk by diversification. The concept of duration, interest-sensitive gap management and hedging tools are mentioned to demonstrate methods of interest rate risk management. This report analyses the operational risk cases of UBS, Herstatt, Barings and Société Générale. The differences and similarities of these cases are discussed. The report then draws conclusions what has been learned and what can be done to attempt to avoid rogue trading. [.] Banks & Banking, Finance & Investing, Risk Management in Banking, particularly operational risk~~ Jeyda Muharrem~~Banks & Banking~~Finance & Investing~~9783656120247, de, Risk Management in Banking, particularly operational risk, Jeyda Muharrem, 9783656120247, GRIN Verlag, 02/03/2012, , , , GRIN Verlag, 02/03/2012<
| | kobo.comE-Book zum download Custos de envio: EUR 0.00 Details... |
(*) Livro esgotado significa que o livro não está disponível em qualquer uma das plataformas associadas buscamos.
EXEMPLO
Jeyda Muharrem:Risk Management in Banking, particularly operational risk
- nuovo livro 2002, ISBN: 9783656120247
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analyse… mais…
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agree Banks & Banking, Finance & Investing, Risk Management in Banking, particularly operational risk~~ Jeyda Muharrem~~Banks & Banking~~Finance & Investing~~9783656120247, de, Risk Management in Banking, particularly operational risk, Jeyda Muharrem, 9783656120247, GRIN Verlag, 02/03/2012, , , , GRIN Verlag, 02/03/2012<
| | kobo.comE-Book zum download. Custos de envio: EUR 0.00 Details... |
(*) Livro esgotado significa que o livro não está disponível em qualquer uma das plataformas associadas buscamos.
Jeyda Muharrem:Risk Management in Banking, particularly operational risk
- nuovo livro 2011, ISBN: 9783656120247
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analyse… mais…
Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agree Studienarbeit aus dem Jahr 2011 im Fachbereich BWL - Bank, Börse, Versicherung, , Sprache: Deutsch, Abstract: In this report, different types of risk and management techniques are analysed. However, the main focus is operational risk. The Basel agree, GRIN Verlag<
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(*) Livro esgotado significa que o livro não está disponível em qualquer uma das plataformas associadas buscamos.
Jeyda Muharrem:Risk Management in Banking, particularly operational risk
- primeira edição 2012, ISBN: 9783656120247
eBooks, eBook Download (EPUB,PDF), Auflage, [PU: GRIN Verlag], [ED: 1], GRIN Verlag, 2012
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(*) Livro esgotado significa que o livro não está disponível em qualquer uma das plataformas associadas buscamos.