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Titel -- Vorwort -- Inhaltsverzeichnis -- 1 Einleitung -- 2 Überblick zum Risk Management in Kreditinstituten -- 2.1 Zum Risikobegriff -- 2.2 Value-at-Risk-Konzepte -- 2.2.1 Analytisches Grundmodell -- 2.2.2 Simulationsmodelle -- 2.2.3 Zusammenfassende Bewertung -- 2.3 Risikoposition und...
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"An in-depth look at the tools and techniques professionals use to address financial risksRisk and uncertainty, as Allan Malz explains in his ground-breaking new book, are two completely different concepts. Risk is a quantifiable uncertainty that can be modeled, while uncertainty defines...
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This book is the English edition of the German third edition, which has proven to be a standard work on the subject of risk management. The English edition extends the scope of use to the English-language bachelor's and master's degree courses in economics and for potential use (especially as a...
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