en
de
es
fr
Shop
GRIN Website
Publish your texts - enjoy our full service for authors
Go to shop
›
Results for «
Risikomanagement+in+Banken
»
Open Filters
Search in
Title
Author
Fulltext
Subject
Business economics - Banking, Stock Exchanges, Insurance, Accounting
(88)
Business economics - Investment and Finance
(14)
Business economics - Controlling
(10)
Economics - Monetary theory and policy
(2)
Business economics - Business Management, Corporate Governance
(2)
Business economics - Accounting and Taxes
(2)
Business economics - General
(1)
Computer Science - Commercial Information Technology
(1)
Law - Civil / Private, Trade, Anti Trust Law, Business Law
(1)
Economics - Finance
(1)
Show all...
Show less...
Category of text
University student text
(122)
Thesis
(111)
Textbook, Science
(7)
Search all categories...
Price
free
(2)
0 - 10 USD
(1)
10 - 25 USD
(113)
25 - 50 USD
(6)
Language
German
(122)
Publication Year
Any Year
since 2024
since 2023
since 2022
since 2021
since 2020
since 2019
since 2018
since 2017
since 2016
since 2015
since 2010
since 2005
since 2000
Results for »
Risikomanagement+in+Banken
« (122 results)
Sort by
Most Relevant
Newest
Most Read
Alphabetic: A-Z
Alphabetic: Z-A
Price: Low to High
Price: High to low
1
2
3
>
Management von Reputationsrisiken in Banken
Risikomanagement
Autor:in:
Christian Berninger (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Seminar Paper , 2008 , Grade: 1,7
Price:
US$ 17.99
Compliance und Überwachung in Banken
Qualitative und Quantitative Überwachung in Banken
Autor:in:
Kresimir Matic (Author)
Subject:
Business economics - Controlling
Category:
Seminar Paper , 2009 , Grade: 2,0
Price:
US$ 17.99
Verluste vermeiden. Die Integration des operativen und strategischen Risikomanagements in das Controlling von Banken
Autor:in:
Martin Boehm (Author)
Subject:
Economics - Finance
Category:
Seminar Paper , 2014 , Grade: 03
Price:
US$ 17.99
Risikomanagement von Banken nach der Finanzkrise 2008. Am Beispiel der Commerzbank
Autor:in: Anonymous
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2021 , Grade: 1,4
Price:
US$ 17.99
Implikationen der MaRisk und der zweiten Säule des neuen Baseler Kapitalakkords für das Risikomanagement der Banken
Autor:in:
Björn Hielscher (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2007 , Grade: 1,7
Price:
US$ 18.99
Die Mindestanforderungen an das Risikomanagement der Bankenaufsicht und ihre Auswirkungen auf das Firmenkundengeschäft in Banken
Die Herausforderung regulatorischer Vorgaben an die Bankdienstleistung
Autor:in: Anonymous
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2019 , Grade: 1.0
Price:
US$ 17.99
Die Compliance-Funktion in Banken. Entwicklungen über das Wertpapierhandelsgesetz (WpHG) hinaus
Autor:in:
Felix Knaak (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2014 , Grade: 1,7
Price:
US$ 18.99
Umsetzung des Risikomanagement in Versicherungsunternehmen nach KonTraG
Stand 2007
Autor:in:
Dennis Tomurko (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2007 , Grade: 2,7
Price:
US$ 18.99
Limitsysteme auf Basis des Value-at-Risk in Banken
Autor:in:
Michael Frick (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2005 , Grade: 1,7
Price:
US$ 19.99
Risikomanagement in global agierenden Unternehmen
Autor:in:
Jan Jessberger (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2012 , Grade: 1,2
Price:
US$ 20.99
Potentialanalyse des Risikomanagements in der Industrie-Haftpflichtversicherung. Auswirkungen auf die Gestaltung von Verträgen bei Offshore-Windparks
Autor:in:
Kai Brunken (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2011 , Grade: 1
Price:
US$ 17.99
Die Kulturabhängigkeit von Corporate-Governance-Konzepten in der Finanzindustrie
Dargestellt am Beispiel des Unternehmens Deutsche Bank
Autor:in:
Kristin Lethaus (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2012 , Grade: 8.5 (dutch system)
Price:
US$ 18.99
Liquidity at Risk - Eine Methodik zur Ermittlung des Liquiditätsrisikos in Banken
Autor:in:
Sören Schramm (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2009 , Grade: 1,7
Price:
US$ 17.99
Der Prozess des Risikomanagements und seine Umsetzung
Autor:in:
Matthias Prause (Author)
Subject:
Computer Science - Commercial Information Technology
Category:
Seminar Paper , 2007 , Grade: 1,3
Price:
US$ 16.99
Möglichkeiten und Grenzen des Risikomanagements
Autor:in:
Chris Schaible (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2009 , Grade: 1,3
Price:
US$ 16.99
Rollierender Forecast als Steuergröße des Risikomanagements im Projektcontrolling
Darstellung und kritische Würdigung
Autor:in:
Adem Kablan (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2012 , Grade: 2,3
Price:
US$ 18.99
Corporate Governance, Risikomanagement, Kreditmanagement und Basel II
Autor:in:
Saskia Uhlmann (Author)
,
Jörg Beckers (Author)
Subject:
Business economics - Investment and Finance
Category:
Term Paper (Advanced seminar) , 2002 , Grade: 2,0
Price:
US$ 33.99
Geschäftsmodelle und Risikosteuerung von Banken
Chancen und Risiken der Digitalisierung für Geschäftsmodelle
Autor:in:
Nico Niedrig (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2018 , Grade: 1,3
Price:
US$ 18.99
Risikomanagement unter Basel II
Autor:in:
Bastian Schultz (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,3
Price:
US$ 17.99
Erklärungsansätze für Bank Runs und Bank Panics
Autor:in:
Mag. Johannes Bartl (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2005 , Grade: 1,3
Price:
US$ 18.99
Vergütung zwischen Verantwortung und Rendite. Eine kritische Analyse risikoadjustierter Vergütungssysteme am Beispiel des Bankensektors
Autor:in:
Constanze Krasselt (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2011 , Grade: 2,0
Price:
US$ 17.99
Risikomanagement mit Optionen - Strategien
Autor:in:
Christian Ruffer (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2006 , Grade: 1.0
Price:
US$ 17.99
Commodity Trading: Instrumente der Bedarfssicherung und des Risikomanagements
Autor:in:
Hassan Moeini (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2007 , Grade: 1,5
Price:
US$ 18.99
Risikokonzentrationen. Regulatorische Anforderungen der Mindestanforderungen an das Risikomanagement
Autor:in: Anonymous
Subject:
Business economics - Controlling
Category:
Seminar Paper , 2015 , Grade: 1,0
Price:
US$ 17.99
Besondere rechtliche Anforderungen an das Risikomanagement im Investment Banking
Autor:in:
Christian Lau (Author)
Subject:
Law - Civil / Private, Trade, Anti Trust Law, Business Law
Category:
Seminar Paper , 2010 , Grade: 1,7
Price:
US$ 17.99
Basel II und die Mindestanforderungen an das Risikomanagement (MaRisk)
Autor:in:
Heiko Mehlhop (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,7
Price:
US$ 18.99
Rating-Verfahren im Fokus des unternehmerischen Risikomanagements
Autor:in:
Alina Dorl (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2003 , Grade: 2,0
Price:
US$ 18.99
Kreditrisikomanagement bei Banken unter besonderer Berücksichtigung von Kreditderivaten
Autor:in:
Oleg Girko (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2002 , Grade: 1,7
Price:
US$ 18.99
Copulas im Risikomanagement von Versicherungsunternehmen
Autor:in:
Quang Huy Tran (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2009 , Grade: 1,7
Price:
US$ 18.99
MaRisk - Mindestanforderungen an das Risikomanagement
Autor:in:
Jürgen Brandt (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2007
Price:
US$ 17.99
Banken-, Währungskrisen und Twin Crisis: Stilisierte Fakten und theoretische Erklärungsansätze
Autor:in:
Björn-Eric Förster (Author)
Subject:
Economics - Monetary theory and policy
Category:
Seminar Paper , 2004 , Grade: 2,0
Price:
US$ 18.99
Integration von Nachhaltigkeitsrisiken in Kreditrisikomodellen von Banken
Autor:in:
Lena Vogel (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2021 , Grade: 1,4
Price:
US$ 17.99
Alternativen der Risikosteuerung von Banken in Zeiten der Finanzkrise
Autor:in:
D S (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2009 , Grade: "-"
Price:
US$ 17.99
Management operationeller Risiken in Kreditinstituten
Seminararbeit
Autor:in:
Nataliya Ovdiychuk (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2009 , Grade: 1,7
Price:
US$ 17.99
Der "Value at Risk" in Zeiten der Subprimekrise
Ein adäquates Steuerungsinstrument?
Autor:in:
Christian Gudat (Author)
Subject:
Business economics - Controlling
Category:
Term Paper , 2010 , Grade: 1,0
Price:
US$ 18.99
Prozesseffizienzmessung mit Kennzahlen und Kennzahlensystemen
Autor:in:
Clemens Kaminsky (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2007 , Grade: 2,3
Price:
US$ 17.99
Angemessenheit regulatorischer Kontrollmaßnahmen der originären und derivativen Liquiditätsrisiken
Autor:in:
Peter Schmunkamp (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2017 , Grade: 2,1
Price:
US$ 20.99
Bankensteuerung mit dem RAROC
Autor:in:
Undine Kempe (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2007 , Grade: 2,0
Price:
US$ 17.99
Risikomanagement durch Portfoliobildung
Ansätze der Bewertung, Messung und Steuerung
Autor:in:
Ridvan Yildirim (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2014 , Grade: 1,3
Price:
US$ 18.99
Operationelle Risiken im Bankensektor
Autor:in:
Carolin Hoffmann (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Seminar Paper , 2008 , Grade: 2,7
Price:
US$ 16.99
Die Ausgestaltung des Kreditrisikomanagements bei der Deutschen Bank. Möglichkeiten und Grenzen
Autor:in:
Julia-Anna Hillenbrand (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2014
Price:
US$ 17.99
Management von operationellen Risiken in Kreditinstituten
Autor:in:
Christian Brigadski (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2004 , Grade: 1,3
Price:
US$ 18.99
Management des Zinsänderungsrisikos
Autor:in:
Milyon Hagos (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2014 , Grade: 1,7
Price:
US$ 18.99
Projektfinanzierung. Aktuelles Beispiel und Risikomanagement
Autor:in: Anonymous
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2017 , Grade: 1,7
Price:
US$ 18.99
Prognose von Zinsentwicklungen auf Basis eines Ansatzes zur Schaetzung der Zinsstrukturkurve - Eine empirische Untersuchung
Autor:in:
Christian Schütz (Author)
,
Philipp Eckerle (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2006 , Grade: 1,0
Price:
US$ 33.99
Die Entstehung und Auswirkungen einer Blase in der Finanzbranche
Unter Berücksichtigung des Kreditgeschäftes am Beispiel der US-Immobilienkrise
Autor:in:
Sebastian Henning (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2013
Price:
US$ 17.99
Der Einsatz risikoadjustierter Kennzahlen in der Gesamtbanksteuerung
Autor:in:
Florian Bielski (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,0
Price:
US$ 18.99
Abbildung von Abhängigkeiten in der Asset Allocation
Autor:in:
Rabea Hacker (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2010 , Grade: 2,0
Price:
US$ 17.99
Potenzielle Einflussfaktoren auf die Höhe der Recovery Rate von Bankkrediten an KMU. Eine Umfrage in der Bankpraxis von Jens Grunert und Martin Weber
Analyse und Beurteilung
Autor:in:
Sören Schramm (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2008 , Grade: 1,3
Price:
US$ 16.99
Vergleich von Faktor- und Portfolioansatz in der historischen Simulation
Autor:in:
Sabine Pützfeld (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2002 , Grade: 3
Price:
US$ 18.99
Show
25
50
100
1
2
3
>