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Results for »
Risikomanagement+in+Banken
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Inverse Stresstests: Neue Anforderungen an Banken
Autor:in:
Christopher Berg (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2012
Price:
US$ 20.99
Risikoberichterstattung von Finanzinstrumenten
Anforderungen des IFRS 7 und dessen Umsetzung bei deutschen Banken
Autor:in:
Özgür Gandar (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2010 , Grade: 1,7
Price:
US$ 36.99
Risikoadjustierte Bepreisung von Krediten
Gemäß der Solvabilitätsverordnung (SolvV) und der Mindestanforderungen an das Risikomanagement (MaRisk)
Autor:in:
Christian Brigadski (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2007 , Grade: 1,3
Price:
US$ 36.99
Angemessenheit regulatorischer Kontrollmaßnahmen der originären und derivativen Liquiditätsrisiken
Autor:in:
Peter Schmunkamp (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2017 , Grade: 2,1
Price:
US$ 20.99
Integration externer Datenbanken in die aufsichtsrechtliche Erfassung von operationellen Risiken
Autor:in:
Tino Bänsch (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2010 , Grade: 2,1
Price:
US$ 31.99
Das Zinsänderungsrisiko in Kreditinstituten
Autor:in:
Mario Plieschnig (Author)
Subject:
Mathematics - Applied Mathematics
Category:
Diploma Thesis , 2001 , Grade: 2
Price:
US$ 36.99
Bankensteuerung mit dem RAROC
Autor:in:
Undine Kempe (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2007 , Grade: 2,0
Price:
US$ 17.99
Value-at-Risk and beyond. Analyse moderner Ansätze der Risikomessung im regulatorischen Umfeld
Autor:in:
Simon Schweihoff (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Bachelor Thesis , 2015 , Grade: 1,7
Price:
US$ 36.99
Risikomanagement durch Portfoliobildung
Ansätze der Bewertung, Messung und Steuerung
Autor:in:
Ridvan Yildirim (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2014 , Grade: 1,3
Price:
US$ 18.99
Operationelle Risiken im Bankensektor
Autor:in:
Carolin Hoffmann (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Seminar Paper , 2008 , Grade: 2,7
Price:
US$ 16.99
Die Ausgestaltung des Kreditrisikomanagements bei der Deutschen Bank. Möglichkeiten und Grenzen
Autor:in:
Julia-Anna Hillenbrand (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper , 2014
Price:
US$ 17.99
Der Prozess der Weiterentwicklung der Mindestanforderungen (MaH, MaIR, MaK) zu den Mindestanforderungen an das Risikomanagement (MaRisk)
Handbuch MaRisk und Basel III
Autor:in:
Dipl. Volksw. Wolfgang Stützle (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Textbook , 2012
Price:
US$ 18.99
Management von operationellen Risiken in Kreditinstituten
Autor:in:
Christian Brigadski (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2004 , Grade: 1,3
Price:
US$ 18.99
Management des Zinsänderungsrisikos
Autor:in:
Milyon Hagos (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2014 , Grade: 1,7
Price:
US$ 18.99
Implementierung von Liquiditätsrisiken in den Value-at-Risk
Autor:in:
Christian Maschner (Author)
Subject:
Business economics - Investment and Finance
Category:
Diploma Thesis , 2009 , Grade: 1,3
Price:
US$ 0.99
Exit-Strategien der Banken von notleidenden und leistungsgestörten Krediten unter Berücksichtigung des Risikobegrenzungsgesetzes
Autor:in:
Matthias Lintner (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Diploma Thesis , 2009 , Grade: 1,0
Price:
US$ 31.99
Projektfinanzierung. Aktuelles Beispiel und Risikomanagement
Autor:in: Anonymous
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2017 , Grade: 1,7
Price:
US$ 18.99
Prognose von Zinsentwicklungen auf Basis eines Ansatzes zur Schaetzung der Zinsstrukturkurve - Eine empirische Untersuchung
Autor:in:
Christian Schütz (Author)
,
Philipp Eckerle (Author)
Subject:
Business economics - Investment and Finance
Category:
Seminar Paper , 2006 , Grade: 1,0
Price:
US$ 33.99
Die Entstehung und Auswirkungen einer Blase in der Finanzbranche
Unter Berücksichtigung des Kreditgeschäftes am Beispiel der US-Immobilienkrise
Autor:in:
Sebastian Henning (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Research Paper (undergraduate) , 2013
Price:
US$ 17.99
Die Einführung der International Financial Reporting Standards (IFRS) in die deutsche Bilanzierung und die Auswirkung für RAND Worldwide
Autor:in:
Alexander Raab (Author)
Subject:
Business economics - Accounting and Taxes
Category:
Diploma Thesis , 2003 , Grade: 1.8
Price:
US$ 36.99
Abbildung von Abhängigkeiten in der Asset Allocation
Autor:in:
Rabea Hacker (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2010 , Grade: 2,0
Price:
US$ 17.99
Der Einsatz risikoadjustierter Kennzahlen in der Gesamtbanksteuerung
Autor:in:
Florian Bielski (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Term Paper (Advanced seminar) , 2006 , Grade: 1,0
Price:
US$ 18.99
Potenzielle Einflussfaktoren auf die Höhe der Recovery Rate von Bankkrediten an KMU. Eine Umfrage in der Bankpraxis von Jens Grunert und Martin Weber
Analyse und Beurteilung
Autor:in:
Sören Schramm (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2008 , Grade: 1,3
Price:
US$ 16.99
Corporate Sustainability in mittelständischen Unternehmen: Umsetzungsstrategien einer nachhaltigen Unternehmensführung (Basel II - Richtlinien)
Autor:in:
Dipl.-Oec. Stefan à Tellinghusen (Author)
Subject:
Business economics - Business Management, Corporate Governance
Category:
Diploma Thesis , 2005 , Grade: sehr gut (1,5)
Price:
US$ 36.99
Vergleich von Faktor- und Portfolioansatz in der historischen Simulation
Autor:in:
Sabine Pützfeld (Author)
Subject:
Business economics - Banking, Stock Exchanges, Insurance, Accounting
Category:
Seminar Paper , 2002 , Grade: 3
Price:
US$ 18.99
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