Christoph Schubert
Broschiertes Buch

Beta and Duration as Measurements of Future Risk and Returns

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Seminar paper from the year 2014 in the subject Business economics - Business Management, Corporate Governance, grade: 1,0, Dublin Business School, language: English, abstract: Since the financial crisis of 2007/2008 risk management become a boost in financial institutions. The crisis has shown that the risk management of most institutions are inefficient, their models inadequate and that regulation failed their aim to avoid such a major crisis (Bessis, 2010). To identify, measure, control and price risk and to estimate the effect on a port-folio is a hard task because it is a look towards the...