The impact of risk modeling on the market perception of banks' estimated fair value gains and losses for financial instrument
Year of publication: |
2015
|
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Authors: | Bhat, Gauri ; Ryan, Stephen G. |
Published in: |
Accounting, organizations and society : an international journal devoted to the behavioural, organizational and social aspects of accounting. - Amsterdam : Elsevier, ISSN 0361-3682, ZDB-ID 83016-1. - Vol. 46.2015, p. 81-95
|
Subject: | Risikomodell | Risk model | Finanzprodukt | Financial product | Fair-Value-Bilanzierung | Fair value accounting | Bank | USA | United States |
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