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Measuring risk and performance for a financial institution
Graduate Thesis/Dissertation

Measuring risk and performance for a financial institution

Paul McLaren
~ Master of Business - MBus, University of Otago
2003
Handle:
https://hdl.handle.net/10523/1431
Appears in  Dissertations

Abstract

Value at Risk Risk-Adjusted Capital risk measures performance measures financial risk management risk performance derivatives HF Commerce HF5601 Accounting HG Finance

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