Market Risk Management in a Post-Basel II Regulatory Environment
Year of publication: |
2016
|
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Authors: | Uroševic, Branko ; Drenovak, Mikica ; Rankovic, Vladimir ; Jelic, Ranko ; Ivanovic, Milos |
Publisher: |
Munich : Center for Economic Studies and ifo Institute (CESifo) |
Subject: | finance | market risk | Basel 2.5 | GARCH | NSGA-II |
Series: | CESifo Working Paper ; 6293 |
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Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
Other identifiers: | 877838534 [GVK] hdl:10419/155535 [Handle] RePec:ces:ceswps:_6293 [RePEc] |
Classification: | C01 - Econometrics |
Source: |
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Market risk management in a Post-Basel II regulatory environment
Urošević, Branko, (2016)
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Market risk management in a post-Basel II regulatory environment
Drenovak, Mikica, (2017)
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Mehmke, Fabian, (2012)
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Market Risk Management in a Post-Basel II Regulatory Environment
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Mean Univariate-GARCH VaR Portfolio Optimization: Actual Portfolio Approach
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Mean Univariate-GARCH VaR Portfolio Optimization : Actual Portfolio Approach
Rankovic, Vladimir, (2016)
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