Bank Management and Control
Johannes Wernz
in Management for Professionals from Springer
Date: 2020
Edition: 2nd ed. 2020
ISBN: 978-3-030-42866-2
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Chapters in this book:
- Ch Chapter 1 Outline
- Johannes Wernz
- Ch Chapter 2 Bank Management and Steering
- Johannes Wernz
- Ch Chapter 3 Banks and the Regulatory and Economic Environment
- Johannes Wernz
- Ch Chapter 4 Risk Modeling and Capital: Credit Risk (Loans)
- Johannes Wernz
- Ch Chapter 5 Risk Modeling and Capital: Counterparty Credit Risk (“EPE” and “CVA”)
- Johannes Wernz
- Ch Chapter 6 Risk Modeling and Capital: Credit Risk (Securitizations)
- Johannes Wernz
- Ch Chapter 7 Risk Modeling and Capital: Market Risk
- Johannes Wernz
- Ch Chapter 8 Risk Modeling and Capital: Operational Risk
- Johannes Wernz
- Ch Chapter 9 Risk Modeling: Asset Liability Management
- Johannes Wernz
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Persistent link: https://EconPapers.repec.org/RePEc:spr:mgmtpr:978-3-030-42866-2
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DOI: 10.1007/978-3-030-42866-2
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