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Value at Risk and Bank Capital Management

Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making

Value at Risk and Bank Capital Management( )
Author: Saita, Francesco
Series title:Academic Press Advanced Finance Ser.
ISBN:978-0-08-047106-8
Publication Date:Jul 2010
Publisher:Elsevier Science & Technology Books
Imprint:Academic Press
Book Format:Ebook
List Price:Contact Supplier contact Contact Supplier contact Contact Supplier contact
Book Description:

An expert analysis of the cutting-edge risk measures banks can use to manage and allocate their capital

Book Details
Pages:280
Detailed Subjects: Business & Economics / Banks & Banking
Business & Economics / Decision-Making & Problem Solving
Physical Dimensions (W X L X H):7.25 x 10.25 Inches



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