196  results:
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1

Introduction to credit risk 

Chapman & Hall/CRC finance series;A Chapman & Hall book
Carlone, Guilio - First edition . , 2021
Copies:  BB WiWi: 11a swl 277/790
 
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2

Handbuch Solvabilität 

aufsichtliche Kapitalanforderungen an Kreditinstitute 
Gendrisch, Thorsten ; Hahn, Ronny ; Klement, Jochen - 3. Auflage . , Juli 2020
 
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3

Ratingagenturen zwischen Krise und Regulierung 

Wirtschaftssoziologie und politische Ökonomie ; Band 5;edition sigma
Hiß, Stefanie ; Nagel, Sebastian - 2., aktualisierte Auflage . , 2019
Copies:  SOCIUM: 03.02.1 0133bb052024(2); BB WiWi: 11a swl 277/355(2)
 
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4

Analytical techniques in the assessment of credit risk 

an overview of methodologies and applications  EURO advanced tutorials on operational research
Copies:  BB WiWi: 11a swl 277/382
 
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5

Final Basel III modelling 

implementation, impact and implications 
Copies:  Zentrale:E02 a swl 277/849; BB WiWi: 11a swl 277/849a
 
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6

The FRTB 

concepts, implications and implementation 
Copies:  BB WiWi: 11a swl 277/165
 
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7

Basel IV 

the next generation of risk weighted assets  Wiley finance
Neisen, Martin ; Röth, Stefan - 2nd edition . , [2018]
Copies:  BB WiWi: 11a swl 277/654(2)
 
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8

Basel IV 

the next generation of risk weighted assets  Wiley finance
Copies:  Zentrale:E02 a swl 277/654
 
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9

Derivatives 

principles and practice  The McGraw-Hill/Irwin series in finance, insurance, and real estate
Sundaram, Rangarajan K. - 2. ed. . , 2016
Copies:  Zentrale:E02 a bwl 529/441(2); BB WiWi: 11a bwl 529/441(2)a
 
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10

Derivatives 

principles and practice  The McGraw-Hill/Irwin series in finance, insurance, and real estate
Sundaram, Rangarajan K. - 2. ed., International student ed. . , 2016
Copies:  Zentrale:E02 a bwl 529/441(2)b
 
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11

Insolvenzrecht in der Bankpraxis:

Obermüller, Manfred ; Kuder, Karen ; Obermüller, Martin - 9., neu bearbeitete Auflage . , 2016
Copies:  BB Nat.-NW1: h jur 542 ad/750(9)
 
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12

Crisis wasted? 

leading risk managers on risk culture 
Copies:  BB WiWi: 11a swl 275/699
 
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13

Financial risk modelling and portfolio optimization with R:

Pfaff, Bernhard - Second edition . , 2016
Copies:  Zentrale:E02 a swl 179.5/546(2)
 
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14

Credit risk management in the energy industry 

learning from the financial sector and special challenges i...  Wirtschaftswissenschaftliches Forum der FOM ; Band 34
Copies:  Zentrale:Magazin 02.n.7984
 
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15

Handbook of ratings 

approaches to ratings in the economy, sports, and society 
Copies:  BB WiWi: 11a swl 277/426
 
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