금융기관의 시장리스크 관리와 감독방향에 관한 연구 : value at risk 모형을 중심으로Market risk management and regulation for the banks

Cited 0 time in webofscience Cited 0 time in scopus
  • Hit : 1761
  • Download : 0
Advisors
안창모Ahn, Chang-Mo
Description
한국과학기술원 : 테크노경영대학원,
Publisher
한국과학기술원
Issue Date
1999
Identifier
151295/325007 / 000973112
Language
kor
Description

학위논문(석사) - 한국과학기술원 : 테크노경영대학원, 1999.2, [ vi, 59 p. ]

Keywords

자기자본; 은행감독; 위험관리; 시장리스크; 리스크; Bank capital; Regulation; Risk management; Market risk; Value at risk

URI
http://hdl.handle.net/10203/54189
Link
http://library.kaist.ac.kr/search/detail/view.do?bibCtrlNo=151295&flag=dissertation
Appears in Collection
KGSM-Theses_Master(석사논문)
Files in This Item
There are no files associated with this item.

qr_code

  • mendeley

    citeulike


rss_1.0 rss_2.0 atom_1.0