Reverse Stress Testing in Banking A Comprehensive Guide
Reverse stress testing was introduced in risk management as a regulatory tool for financial institutions more than a decade ago. The recent Covid-19 crisis illustrates its relevance and highlights the need for a systematic re-thinking of tail risks in the banking sector. This book addresses the need...
| Другие авторы: | Aḥmad, Nāṣir, Albanese, Claudio, Almehed, Daniel, Bellini, Tiziano (Редактор), Bouayoun, Assad, Caccioli, Fabio, Charmaille, Jean-Pierre, Cotoi, Iulian, Crépey, Stéphane, Daníelsson, Jón, Dash, Sidhartha, Davies, Brandon, Dengler, Heike, Eichhorn, Michael (Редактор), Fouché, Morgane, Gann, Philipp, Henry, Jérôme, Iabichino, Stefano, Ivantsov, Evgueni, Kolev, Magdalena, Lodha, Meha, Macrae, R., Mammola, Paolo, Mangold, Philippe, Mayenberger, Daniel (Редактор), Mirzai, Bahram, Nawani, Ashutosh, Pfoh, Torsten, Romano, Aaron, Shin, Hyun Song, Stamicar, Robert, Steiner, Thomas, Uthemann, Andreas, Valenzuela, Marcela, Wälder, Konrad, Wälder, Olga, Zer, Ilknur, Zigrand, Jean-Pierre |
|---|---|
| Формат: | Электронная книга |
| Язык: | English |
| Публикация: |
Berlin ; Boston
De Gruyter,
[2021]
|
| Серии: | Moorad Choudhry global banking series.
|
| Предметы: | |
| Online-ссылка: | EBSCOhost Перейти в каталог НБ ТГУ |
Похожие документы
-
Banking Associations Their Role and Impact in a Time of Market Change
по: Sredojevic, Sladjana
Публикация: (2022) -
Principles of Green Banking Managing Environmental Risk and Sustainability
по: Barua, Suborna
Публикация: (2020) -
Basel Accords, Bank Capital and Portfolio Risk Behavior
по: Riaz, Samina
Публикация: (2019) -
Banks and Shareholder Value An Overview of Bank Valuation and Empirical Evidence on Shareholder Value for Banks /
по: Gross, Stephanie
Публикация: (2006) -
Corporate Evaluation in the German Banking Sector
по: Reuse, Svend
Публикация: (2007)
