Die Risikopolitik der Banken in ihrer konkreten Ausgestaltung - Entwurf einer ausformulierten Risikopolitik als Vorlage - 2. Teil
Year of publication: |
1999-08-01
|
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Authors: | Geiger, Hans |
Institutions: | Institut für Schweizerisches Bankwesen <Zürich> |
Published in: | |
Subject: | Bank | Risikomanagement | risk management |
Extent: | 154624 bytes 6 p. application/pdf |
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Type of publication: | Article |
Language: | German |
Classification: | Management of financial services: stock exchange and bank management science (including saving banks) ; Individual Articles ; No country specification |
Source: | USB Cologne (business full texts) |
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