Download PDF by Marc Richter: Bankenkrise 2.0? Risikopolitik im Kreditgeschäft (Aus der

By Marc Richter

ISBN-10: 3668050864

ISBN-13: 9783668050860

Studienarbeit aus dem Jahr 2015 im Fachbereich BWL - financial institution, Börse, Versicherung, be aware: 1,3, Frankfurt tuition of Finance & administration, Veranstaltung: Bankbetriebswirt, Sprache: Deutsch, summary: Die vorliegende Arbeit befasst sich mit der Frage, welche Risiken das originäre Kreditgeschäft in sich trägt. Sie untersucht, wie dieses quantifiziert und im Hinblick auf die Risikotragfähigkeit bewertet werden können. Im Mittelpunkt steht das bekannteste Risikomessinstrument des Kreditgeschäfts, der anticipated Loss. Ein Praxisbeispiel aus der Unternehmensfinanzierung dient in dieser Arbeit dazu, die Auswirkung des rankings auf die risikoadjustierte Bepreisung zu verdeutlicht.

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Bankenkrise 2.0? Risikopolitik im Kreditgeschäft (Aus der Reihe: e-fellows.net stipendiaten-wissen) (German Edition) by Marc Richter


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