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

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dc.contributor.advisor안창모-
dc.contributor.advisorAhn, Chang-Mo-
dc.contributor.author김성우-
dc.contributor.authorKim, Sung-Woo-
dc.date.accessioned2011-12-27T04:49:22Z-
dc.date.available2011-12-27T04:49:22Z-
dc.date.issued1999-
dc.identifier.urihttp://library.kaist.ac.kr/search/detail/view.do?bibCtrlNo=151295&flag=dissertation-
dc.identifier.urihttp://hdl.handle.net/10203/54189-
dc.description학위논문(석사) - 한국과학기술원 : 테크노경영대학원, 1999.2, [ vi, 59 p. ]-
dc.languagekor-
dc.publisher한국과학기술원-
dc.subject자기자본-
dc.subject은행감독-
dc.subject위험관리-
dc.subject시장리스크-
dc.subject리스크-
dc.subjectBank capital-
dc.subjectRegulation-
dc.subjectRisk management-
dc.subjectMarket risk-
dc.subjectValue at risk-
dc.title금융기관의 시장리스크 관리와 감독방향에 관한 연구-
dc.title.alternativeMarket risk management and regulation for the banks-
dc.typeThesis(Master)-
dc.identifier.CNRN151295/325007-
dc.description.department한국과학기술원 : 테크노경영대학원, -
dc.identifier.uid000973112-
dc.contributor.localauthor안창모-
dc.contributor.localauthorAhn, Chang-Mo-
dc.title.subtitlevalue at risk 모형을 중심으로-
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KGSM-Theses_Master(석사논문)
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