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isPartOf:"Volkswirtschaftliche Diskussionsreihe"
subject:"Derivat"
~isPartOf:"SpringerLink / Bücher"
~subject:"Bankrisiko"
~subject:"Basel Accord"
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Basel III und Risikotragfähigkeit : Herleitung eines konsistenten Ansatzes
Fiedler, Sonja
-
2018
Die Entwicklung und Implementierung interner Verfahren zur Beurteilung und Sicherstellung der angemessenen ökonomischen Kapitalausstattung (Internal Capital Adequacy Assessment Process, ICAAP), die neben der Kapitalplanung und Stresstests das Risikotragfähigkeitskonzept umfassen, bilden unter...
Persistent link: https://www.econbiz.de/10012401458
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2
Commercial Banking Risk Management : Regulation in the Wake of the Financial Crisis
Tian, Weidong
(
ed.
)
-
2017
This edited collection comprehensively addresses the widespread regulatory challenges uncovered and changes introduced in financial markets following the 2007-2008 crisis, suggesting strategies by which financial institutions can comply with stringent new regulations and adapt to the pressures...
Persistent link: https://www.econbiz.de/10012397374
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3
Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century
Schönhärl, Korinna
(
ed.
)
-
2017
This book offers 14 contributions that examine key questions in bank decision-taking, constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century. It explores how the various mechanisms of bank decision taking changed over time. Chapters also...
Persistent link: https://www.econbiz.de/10012397405
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4
Assessing Risk Assessment : Towards Alternative Risk Measures for Complex Financial Systems
Hoffmann, Christian Hugo
-
2017
Christian Hugo Hoffmann undermines the citadel of risk assessment and management, arguing that classical probability theory is not an adequate foundation for modeling systemic and extreme risk in complex financial systems. He proposes a new class of models which focus on the knowledge dimension...
Persistent link: https://www.econbiz.de/10012397671
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5
The Validation of Risk Models : A Handbook for Practitioners
Scandizzo, Sergio
-
2016
The practice of quantitative risk management has reached unprecedented levels of refinement. The pricing, the assessment of risk as well as the computation of the capital requirements for highly complex transactions are performed through equally complex mathematical models, running on advanced...
Persistent link: https://www.econbiz.de/10012398025
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6
Zinsänderungs- und Bilanzstrukturrisiken : neue Konzepte zur Abbildung von Volumen- und Zinseffekten
Rüder, Annika
-
2019
Die hohe Relevanz von Bilanzstrukturrisiken im Niedrig- bzw. Negativzinsumfeld führt zu der zentralen Frage nach etwaigen Abhängigkeiten der präferierten Anlage- und Kreditlaufzeiten vom aktuellen Marktzins. Aus dieser Abhängigkeit wiederum resultiert die Frage nach der Angemessenheit der...
Persistent link: https://www.econbiz.de/10012401664
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7
Liquidity Risk Management in Banks : Economic and Regulatory Issues
Ruozi, Roberto
-
2013
The recent turmoil on financial markets has made evident the importance of efficient liquidity risk management for the stability of banks. The measurement and management of liquidity risk must take into account economic factors such as the impact area, the timeframe of the analysis, the origin...
Persistent link: https://www.econbiz.de/10014016173
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8
Weather Derivatives : Modeling and Pricing Weather-Related Risk
Alexandridis K., Antonis
-
2013
The weather derivatives market -- Introduction to Stochastic Calculus -- Handling the data -- Pricing approaches of temperature -- Modeling the daily average temperature -- Pricing temperature derivatives -- The use of meteorological forecasts -- The effects of the geographical and basis risk --...
Persistent link: https://www.econbiz.de/10014016319
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9
Auswirkungen von Basel III auf Risikomanagement und Risikocontrolling : Chancen, Risiken, Schlussfolgerungen für mittelständische Banken
Jessberger, Pascal
-
2013
Als Konsequenz aus der Finanzmarktkrise veröffentlichte der Baseler Ausschuss mit Basel III neue bankaufsichtsrechtliche Empfehlungen. Die Umsetzung erfolgt in Europa über die Capital Requirements Directive IV und ist sukzessive ab 2013 für europäische Banken anzuwenden. Die neuen...
Persistent link: https://www.econbiz.de/10014016400
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10
Corporate Risk Management
Wengert, Holger Michael
-
2013
Vorwort -- Einführung in das Risikomanagement bei Unternehmen -- Strategisches Risikomanagement bei Unternehmen -- Operatives Risikomanagement bei Unternehmen.- Solvabiliät für Risikomanagement -- Anhang.
Persistent link: https://www.econbiz.de/10014017033
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