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Titlebook: Risk Management, Strategic Thinking and Leadership in the Financial Services Industry; A Proactive Approach Hasan Din?er,ümit Hacio?lu Book

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樓主: Julienne
21#
發(fā)表于 2025-3-25 04:09:45 | 只看該作者
Computation of Operational Value at Risk Using the Severity Distribution Model Based on Bayesian Metons based on Bayesian method with Gibbs sampler. Further to that, the paper models the severity distribution by making use of the lognormal and the generalised Pareto distribution simultaneously. Simulated results suggest that computed operational value at risk estimates based of this new method are
22#
發(fā)表于 2025-3-25 09:45:59 | 只看該作者
An Approach to Measure Financial Risk Relative Indices: A Case Study of Indonesian Insurance Companisheet are available only on a yearly basis, and hence, a time series based approach for measuring risk, such as Value at Risk (VaR), cannot be applied. The limited number of series will explode the variance estimate of the parameter distribution used to calculate VaR. As an alternative, the risk can
23#
發(fā)表于 2025-3-25 14:52:50 | 只看該作者
24#
發(fā)表于 2025-3-25 17:44:38 | 只看該作者
Shabir A. A. Saleem,Abdullah Yalamanruly matter. In the handling of those subjects rooted in clinical physiology (and therefore predic- bly difficult to understand), it makes perfect sense, in my opinion, to adopt an ‘a(chǎn)lgorithmic’ approach. A picture can say a thousand words; a well constructed algorithm can save at least a hundred—no
25#
發(fā)表于 2025-3-25 21:04:58 | 只看該作者
26#
發(fā)表于 2025-3-26 03:12:13 | 只看該作者
Sustainable and Inclusive Finance in Turkeyis chapter is to explore the terms of sustainable and inclusive finance and assess the underlying role in the developing countries especially in Turkey and to reveal the current situation and further possibilities.
27#
發(fā)表于 2025-3-26 07:54:57 | 只看該作者
Monetary Policy Divergence and Central Banking in the New Eraard. Central Banks of?many other emerging markets and those of?advanced economies such as the USA and the UK are expected to tighten. Uncertainties about the future decrease risk appetite. Capital outflows from emerging markets and fall in trade volumes follow.
28#
發(fā)表于 2025-3-26 12:11:44 | 只看該作者
Enhancing the Risk Management Functions in Banking: Capital Allocation and Banking Regulationsa common regulation framework for the capital allocation. They are international guidelines to encourage convergence toward common standards in?the banking sector.?The Basel Capital Accords?have evolved over time because of the growth?of international risks.
29#
發(fā)表于 2025-3-26 15:17:52 | 只看該作者
30#
發(fā)表于 2025-3-26 20:17:09 | 只看該作者
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