Interaction of market and credit risk: an analysis of inter-risk correlation and risk aggregation
Year of publication: |
2008
|
---|---|
Authors: | Hillebrand, Martin ; Böcker, Klaus |
Institutions: | Deutsche Bundesbank |
Subject: | Risk aggregation | Inter-risk correlation | economic capital | ICAAP | diversification |
Extent: | application/pdf |
---|---|
Series: | |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Number 2008,11 |
Classification: | G31 - Capital Budgeting; Investment Policy ; G28 - Government Policy and Regulation ; G21 - Banks; Other Depository Institutions; Mortgages ; C13 - Estimation |
Source: |
-
Interaction of market and credit risk: an analysis of inter-risk correlation and risk aggregation
Hillebrand, Martin, (2008)
-
Could Regional and Cantonal Banks Reduce Credit Risk through National Diversification?
Rime, Bertrand, (2007)
-
Could Regional and Cantonal Banks Reduce Credit Risk through National Diversification?
Rime, Bertrand, (2007)
- More ...
-
Interaction of market and credit risk: an analysis of inter-risk correlation and risk aggregation
Hillebrand, Martin, (2008)
-
Interaction of market and credit risk:an analysis of inter-risk correlationand risk aggregation
Böcker, Klaus, (2008)
-
Interaction of market and credit risk : an analysis of inter-risk correlation and risk aggregation
Böcker, Klaus, (2009)
- More ...