The aim of this study is to contribute to this understanding by answering the following questions: How do banks adjust capital ...
اقرأ المزيدA distinguished international group of central bankers, commercial bankers, entrepreneurs, academic advisors, policymakers, ...
اقرأ المزيدThe present book criticizes the fact that profitability measures derived from capital market models such as the Sharpe ratio ...
اقرأ المزيدDealing with all aspects of risk management that have undergone significant innovation in recent years, this book aims at ...
اقرأ المزيدThe focus of this book is on the estimation and validation of the three key Basel II risk parameters, probability of default ...
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