Bank capital adequacy for average market financial risk
Year of publication: |
Juni 2015
|
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Authors: | Azar, Samih Antoine |
Published in: |
The empirical economics letters : a monthly international journal of economics. - Rajshahi, ISSN 1681-8997, ZDB-ID 2560109-X. - Vol. 14.2015, 6, p. 631-635
|
Subject: | Banks | Capital ratio | Average market financial risk | Index of risk | Relative risk aversion | Finanzdienstleistung | Financial services | Theorie | Theory | Bankrisiko | Bank risk | Basler Akkord | Basel Accord | Risiko | Risk | Bank | Risikoaversion | Risk aversion | Portfolio-Management | Portfolio selection | Risikomanagement | Risk management | Bilanzstrukturmanagement | Asset-liability management |
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