Market risk management in a Post-Basel II regulatory environment
Year of publication: |
December 2016
|
---|---|
Authors: | Urošević, Branko ; Drenovak, Mikica ; Ranković, Vladimir ; Jelic, Ranko ; Ivanović, Miloš |
Publisher: |
Munich : CESifo, Center for Economic Studies & Ifo Institute |
Subject: | finance | market risk | Basel 2.5 | GARCH | NSGA-II | Risikomanagement | Risk management | Bankrisiko | Bank risk | Basler Akkord | Basel Accord | Marktrisiko | Market risk | ARCH-Modell | ARCH model | Kreditrisiko | Credit risk | Bankenregulierung | Bank regulation | Finanzmarkt | Financial market | Risikomaß | Risk measure |
-
Market risk management in a post-Basel II regulatory environment
Drenovak, Mikica, (2017)
-
Sobott, Jonas Karl, (2017)
-
Kinateder, Harald, (2016)
- More ...
-
Market risk management in a post-Basel II regulatory environment
Drenovak, Mikica, (2017)
-
Bond portfolio management under Solvency II regulation
Drenovak, Mikica, (2021)
-
Drenovak, Mikica, (2022)
- More ...