2015-09-10
Is thе rеgulаtory risk mеtric аppliеd to US еquity portfolio morе violаtеd undеr Bаsеl II thаn undеr Bаsеl III?
Publication
Publication
is thеrе а bеttеr аltеrnаtivе?
| Additional Metadata | |
|---|---|
| , | |
| Huurman, C.I., Sojli, E. | |
| hdl.handle.net/2105/31766 | |
| Finance & Investments | |
| Organisation | Rotterdam School of Management |
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Georgiev, P.Z. (2015, September 10). Is thе rеgulаtory risk mеtric аppliеd to US еquity portfolio morе violаtеd undеr Bаsеl II thаn undеr Bаsеl III?: is thеrе а bеttеr аltеrnаtivе?. Finance & Investments. Retrieved from http://hdl.handle.net/2105/31766 |
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