Analyse du risque de crédit : banque & marchés
Year of publication: |
2013
|
---|---|
Authors: | Kharoubi, Cécile ; Thomas, Philippe |
Publisher: |
Paris : Revue Banque Editions |
Subject: | Kreditrisiko | Credit risk | Insolvenz | Insolvency | Theorie | Theory |
Description of contents: | Table of Contents [gbv.de] |
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Adjusted money's worth ratios in life annuities
Casassus, Jaime, (2013)
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What risks for the profitability of the banking sector
Gargouri, Ilhèm, (2014)
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Coping with inconsistencies in bank risk weighted assets
Araten, Michel, (2013)
- More ...
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Maëder, Raymond, (1992)
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Make your Petri nets understandable: Reliability block diagrams driven Petri nets
Signoret, Jean-Pierre, (2013)
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Assessment of the expected number and frequency of failures of periodically tested systems
Cacheux, Pierre-Joseph, (2013)
- More ...