Results 141 to 150 of about 2,991 (190)

Riziko výchovy

open access: yes, 1996
Giussani, Luigi 1922-2005
core  

Přípustné riziko

open access: yes, 2013
Stehlík, Pavel
core  

İşveren Sorumluluk Sigortasında Riziko

open access: yes, 2018
YILDIRIM, ALİ HAYDAR
core  

Kreditní riziko [PDF]

open access: yes, 2009
This thesis is concerned in credit risk modelling, especially the default probability and time to default variable. It deals with two commonly used methods to figure out the term structure of default probability. The first one is based on credit migration. It is assumed that the credit migration process follows a time homogeneous Markov chain.
Truksová, Lucia
core   +6 more sources

Operačné riziko v bankách

open access: yes, 2007
Nové regulatórne pravidlá BASEL II, ktorých hlavným cieľom je zvýšiť bezpečnosť a stabilitu finančných systémov, posilniť konkurenciu medzi bankami a umožniť väčšiu rizikovú citlivosť definujú nový typ rizika, ktoré je potrebné pokryť dodatočným kapitálom - riziko operačné. BASEL II vymedzuje 3 prístupy (základný, štandardizovaný a pokročilý), ktoré je
Holá, Miroslava
openaire   +2 more sources

Kreditní riziko [PDF]

open access: yes, 2008
The main topic of this diploma thesis is the credit risk (default risk) modeling from the portfolio view. The work is introduced by a brief description of credit risk measures and a review of models. The largest part of this thesis is focused on a description of factor models, such as simulation-based KMV and CreditMetrics resulting from Merton's model
Babiaková, Monika
openaire   +3 more sources

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