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Uporaba VaR metode pri izračunu kapitalske ustreznosti za izpostavljenost tržnim tveganjem : simulacija na hipotetičnem portfelju banke
ID Klobas, Marko (Author), ID Košak, Marko (Mentor) More about this mentor... This link opens in a new window

URLURL - Presentation file, Visit http://www.cek.ef.uni-lj.si/magister/klobas1200-B.pdf This link opens in a new window

Language:Slovenian
Keywords:bančništvo, banke, bančno poslovanje, tveganje, obvladovanje tveganj, meritve, metode, razkritje, simulacija
Work type:Master's thesis/paper
Typology:2.09 - Master's Thesis
Organization:EF - School of Economics and Business
Place of publishing:Ljubljana
Publisher:[M. Klobas]
Year:2013
Number of pages:II, 56, 22 str.
PID:20.500.12556/RUL-28536 This link opens in a new window
UDC:336.71
COBISS.SI-ID:21863398 This link opens in a new window
Publication date in RUL:11.07.2014
Views:1339
Downloads:244
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Language:Unknown
Keywords:banking, banks, banking management, risk, risk management, measurements, methods, disclosure, simulation

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