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We develop a general approach for stress testing correlations of financial asset portfolios. The correlation matrix of asset returns is specified in a parametric form, where correlations are represented as a function of risk factors, such as country and industry factors. A sparse factor...
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Part I: Theory Of Banking Regulation And International Financial Standards -- Chapter 1: The Case for Banking Regulation -- Chapter 2: Key Aspects of Public International Financial Law – International Financial Standards -- Chapter 3: Key Institutional Aspects of the International Financial...
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Das Bankenaufsichtsrecht hat sich zu einem hochkomplexen Rechtsgebiet entwickelt, in dem selbst Fachleute Mühe haben, den Überblick zu behalten. Dieses Buch bietet Orientierung. In verständlicher Sprache beschreibt es, wie die Bankenaufsicht in Deutschland und Europa funktioniert, liefert...
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