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subject:"Corporate governance"
type_genre:"Aufsatz im Buch"
~isPartOf:"Risk management and value : valuation and asset price"
~subject:"Finanzkrise"
~subject:"Risikomaß"
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Corporate governance
Finanzkrise
Risikomaß
Risikomanagement
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Risk management
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1999-2006
1
Aktienindex
1
Derivat
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Derivative
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Developing countries
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Estimation
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Exchange rate risk
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India
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Ajili, Wissem
1
Ramesh, K. V. N. M.
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Risk management and value : valuation and asset price
Stress-testing the banking system : methodologies and applications
8
Handbuch ökonomisches Kapitel
7
The panic of 2008 : causes, consequences and implications for reform
7
Controlling und Corporate Governance-Anforderungen : Verbindungen, Maßnahmen, Umsetzung
5
Corporate Governance und Interne Revision : Handbuch für die Neuausrichtung des Internal Auditings
5
Corporate boards : managers of risk, sources of risk
5
Managing business risk : a practical guide to protecting your business
5
New issues in financial and credit markets
4
Risk assessment and financial regulation in emerging markets' banking : trends and prospects
4
Risk management : challenge and opportunity ; with 125 tables
4
Sovereign risk management
4
Commercial banking risk management : regulation in the wake of the financial crisis
3
Die Bankenkrise : Ursachen und Folgen im Risikomanagement
3
IT-Compliance als Risikomanagement-Instrument
3
The VaR implementation handbook
3
Application of operations research to financial markets
2
Auswirkungen der Finanzkrise und volatiler Märkte auf die Agrarwirtschaft
2
Compliance in der Unternehmerpraxis
2
Compliance in der Unternehmerpraxis : Grundlagen, Organisation und Umsetzung
2
Contemporary Trends in European Cooperative Banking : Sustainability, Governance, Digital Transformation, and Health Crisis Response
2
Corporate Governance : zur personalen und sozialen Dimension ; 44 Statements aus Wissenschaft und Praxis ; [Festschrift für Martin Hilb zum 60. Geburtstag]
2
Corporate Governance, Risk Management und Compliance : innovative Konzepte und Strategien
2
Corporate risk management
2
Debt, risk and liquidity in futures markets
2
Developments in forecast combination and portfolio choice
2
Finanzmärkte im Spannungsfeld von Globalisierung, Regulierung und Geldpolitik : Jahrestagung des Vereins für Socialpolitik, Gesellschaft für Wirtschafts- und Sozialwissenschaften in Bern 1997
2
Handbook of heavy tailed distributions in finance
2
Interest rate models, asset allocation and quantitative techniques for central banks and sovereign wealth funds
2
International risk management : [systems, internal contrrol and corporate governance]
2
La crise des subprimes : rapport
2
Managing financial risks : from global to local
2
Principles and context
2
Risikomanagement und Risiko-Controlling : [Organisation und Dokumentation im Unternehmen, Datenerhebung und Risikobewertung, Integration in die Führungs- und Reportingsysteme, Umsetzungsbeispiele aus der Praxis]
2
Risikomanagement und kapitalmarktorientierte Finanzierung : Festschrift zum 65. Geburtstag von Bernd Rudolph
2
Risk management : a modern perspective
2
Risk management : challenge and opportunity : with 37 figures and 46 tables
2
Risk management and corporate governance : interconnections in law, accounting and tax
2
Risk tolerance in financial decision making
2
Robustness in econometrics
2
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A value-at-risk approach to assess exchange risk associated to a public debt portfolio : the case of a small developing economy
Ajili, Wissem
- In:
Risk management and value : valuation and asset price
,
(pp. 11-60)
.
2008
Persistent link: https://www.econbiz.de/10003686152
Saved in:
2
A method to find historical VaR for portfolio that follows S&P CNX Nifty index by estimating the index value
Ramesh, K. V. N. M.
- In:
Risk management and value : valuation and asset price
,
(pp. 61-70)
.
2008
Persistent link: https://www.econbiz.de/10003686161
Saved in:
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