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Academic texts about VaR
30 publications
Page 2 of 2
Stresstests im Risikomanagement von Banken nach der Finanzkrise
Ansatz für ein einfaches, inverses Kreditrisikostressverfahren
Autor:in:
Walter Hatak (Author)
Subject:
Economics - Finance
Category:
Diploma Thesis , 2013 91 Pages , Grade: 2
Catalog Number:
265478
Price:
US$ 34.99
Systemische Risikomessung. Kennzahlen, Beurteilung und Empirie
Autor:in:
Markus Engelmann (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2016 16 Pages , Grade: 2,0
Catalog Number:
354747
Price:
US$ 18.99
Taux de change, ouverture et croissance économique en République démocratique du Congo
Essai d'analyse macroéconomique de la relation taux de change, ouverture et croissance économique
Autor:in:
Elie Bola Boongo (Author)
Subject:
Economics - Macro-economics, general
Category:
Bachelor Thesis , 2023 91 Pages , Grade: 17/20
Catalog Number:
1438869
Price:
US$ 42.99
Value-at-Risk basiertes Risikomanagement zur Beurteilung von Marktrisiken
Autor:in:
Daniela Unger (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2008 56 Pages , Grade: 1,0
Catalog Number:
127256
Price:
US$ 21.99
VAR und die Realität - 30 Jahre nach C. Sims Kritik
Autor:in:
Maximilian Ludwig (Author)
Subject:
Economics - Macro-economics, general
Category:
Diploma Thesis , 2010 131 Pages , Grade: 1,0
Catalog Number:
180679
Price:
US$ 42.99
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