Interest rate risk and value-at-risk measurement methodology in the Dexia Bank Slovakia
Riziko úrokovej miery môže nepriaznivo ovplyvniť finančné nástroje alebo portfólio. Situácia v Dexia banke. Dexia banka prijala metodológiu merania value-at-risk (VaR). Metódy merania. Agregácia a diverzifikácia trhového rizika. Spätné testovanie.
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| Sprache: | Englisch |
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