Six sigma improvements for Basel III and Solvency II in financial risk management: emerging research and opportunities
"This book presents applications of the Six Sigma DMAIC method for improving risk management in finance specifically elaborating on different aspects of financial risks analysis and management. It also explores different aspects of enhancing risk analysis and management in the various fields&qu...
Gespeichert in:
1. Verfasser: | |
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) :
IGI Global,
[2018]
|
Schlagworte: | |
Online-Zugang: | Volltext |
Zusammenfassung: | "This book presents applications of the Six Sigma DMAIC method for improving risk management in finance specifically elaborating on different aspects of financial risks analysis and management. It also explores different aspects of enhancing risk analysis and management in the various fields"-- |
Beschreibung: | 20 PDFs (xxxviii, 235 pages) Also available in print. |
Format: | Mode of access: World Wide Web. |
Bibliographie: | Includes bibliographical references and index. |
ISBN: | 9781522572817 |
Zugangseinschränkungen: | Restricted to subscribers or individual electronic text purchasers. |
Internformat
MARC
LEADER | 00000nam a2200000 i 4500 | ||
---|---|---|---|
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003 | IGIG | ||
005 | 20180906082013.0 | ||
006 | m eo d | ||
007 | cr bn |||m|||a | ||
008 | 180907s2018 pau fob 001 0 eng d | ||
010 | |z 2018023368 | ||
020 | |a 9781522572817 |q ebook | ||
020 | |z 9781522572800 |q hardcover | ||
024 | 7 | |a 10.4018/978-1-5225-7280-0 |2 doi | |
035 | |a (CaBNVSL)slc20610805 | ||
035 | |a (OCoLC)1051151090 | ||
040 | |a CaBNVSL |b eng |e rda |c CaBNVSL |d CaBNVSL | ||
050 | 4 | |a HD61 |b .B833 2018e | |
082 | 7 | |a 658.15/5 |2 23 | |
100 | 1 | |a Bubevski, Vojo, |d 1953- |e author. | |
245 | 1 | 0 | |a Six sigma improvements for Basel III and Solvency II in financial risk management |b emerging research and opportunities |c by Vojo Bubevski. |
264 | 1 | |a Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : |b IGI Global, |c [2018] | |
300 | |a 20 PDFs (xxxviii, 235 pages) | ||
336 | |a text |2 rdacontent | ||
337 | |a electronic |2 isbdmedia | ||
338 | |a online resource |2 rdacarrier | ||
504 | |a Includes bibliographical references and index. | ||
505 | 0 | |a Chapter 1. Six sigma -- Chapter 2. Managing credit risk in bank loan portfolio -- Chapter 3. Measuring and analysing credit risk -- Chapter 4. Managing market risk and controlling VAR -- Chapter 5. Managing liquidity risk -- Chapter 6. Managing interest rate risk -- Chapter 7. Managing foreign exchange risk -- Chapter 8. The global financial crisis 2007/2008 and financial risk management. | |
506 | |a Restricted to subscribers or individual electronic text purchasers. | ||
520 | 3 | |a "This book presents applications of the Six Sigma DMAIC method for improving risk management in finance specifically elaborating on different aspects of financial risks analysis and management. It also explores different aspects of enhancing risk analysis and management in the various fields"-- |c Provided by publisher. | |
530 | |a Also available in print. | ||
538 | |a Mode of access: World Wide Web. | ||
588 | |a Description based on title screen (IGI Global, viewed 09/07/2018). | ||
650 | 0 | |a Financial risk management. | |
650 | 0 | |a Risk management. | |
650 | 0 | |a Six sigma (Quality control standard) | |
710 | 2 | |a IGI Global, |e publisher. | |
776 | 0 | |c (Original) |w (DLC)2018023368 | |
776 | 0 | 8 | |i Print version: |z 1522572805 |z 9781522572800 |w (DLC) 2018023368 |
856 | 4 | 0 | |l FWS01 |p ZDB-98-IGB |q FWS_PDA_IGB |u http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-7280-0 |3 Volltext |
912 | |a ZDB-98-IGB | ||
049 | |a DE-863 |
Datensatz im Suchindex
DE-BY-FWS_katkey | ZDB-98-IGB-00205244 |
---|---|
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adam_text | |
any_adam_object | |
author | Bubevski, Vojo, 1953- |
author_facet | Bubevski, Vojo, 1953- |
author_role | aut |
author_sort | Bubevski, Vojo, 1953- |
author_variant | v b vb |
building | Verbundindex |
bvnumber | localFWS |
callnumber-first | H - Social Science |
callnumber-label | HD61 |
callnumber-raw | HD61 .B833 2018e |
callnumber-search | HD61 .B833 2018e |
callnumber-sort | HD 261 B833 42018E |
callnumber-subject | HD - Industries, Land Use, Labor |
collection | ZDB-98-IGB |
contents | Chapter 1. Six sigma -- Chapter 2. Managing credit risk in bank loan portfolio -- Chapter 3. Measuring and analysing credit risk -- Chapter 4. Managing market risk and controlling VAR -- Chapter 5. Managing liquidity risk -- Chapter 6. Managing interest rate risk -- Chapter 7. Managing foreign exchange risk -- Chapter 8. The global financial crisis 2007/2008 and financial risk management. |
ctrlnum | (CaBNVSL)slc20610805 (OCoLC)1051151090 |
dewey-full | 658.15/5 |
dewey-hundreds | 600 - Technology (Applied sciences) |
dewey-ones | 658 - General management |
dewey-raw | 658.15/5 |
dewey-search | 658.15/5 |
dewey-sort | 3658.15 15 |
dewey-tens | 650 - Management and auxiliary services |
discipline | Wirtschaftswissenschaften |
format | Electronic eBook |
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id | ZDB-98-IGB-00205244 |
illustrated | Not Illustrated |
indexdate | 2024-07-16T15:51:52Z |
institution | BVB |
isbn | 9781522572817 |
language | English |
oclc_num | 1051151090 |
open_access_boolean | |
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physical | 20 PDFs (xxxviii, 235 pages) Also available in print. |
psigel | ZDB-98-IGB |
publishDate | 2018 |
publishDateSearch | 2018 |
publishDateSort | 2018 |
publisher | IGI Global, |
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spelling | Bubevski, Vojo, 1953- author. Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities by Vojo Bubevski. Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : IGI Global, [2018] 20 PDFs (xxxviii, 235 pages) text rdacontent electronic isbdmedia online resource rdacarrier Includes bibliographical references and index. Chapter 1. Six sigma -- Chapter 2. Managing credit risk in bank loan portfolio -- Chapter 3. Measuring and analysing credit risk -- Chapter 4. Managing market risk and controlling VAR -- Chapter 5. Managing liquidity risk -- Chapter 6. Managing interest rate risk -- Chapter 7. Managing foreign exchange risk -- Chapter 8. The global financial crisis 2007/2008 and financial risk management. Restricted to subscribers or individual electronic text purchasers. "This book presents applications of the Six Sigma DMAIC method for improving risk management in finance specifically elaborating on different aspects of financial risks analysis and management. It also explores different aspects of enhancing risk analysis and management in the various fields"-- Provided by publisher. Also available in print. Mode of access: World Wide Web. Description based on title screen (IGI Global, viewed 09/07/2018). Financial risk management. Risk management. Six sigma (Quality control standard) IGI Global, publisher. (Original) (DLC)2018023368 Print version: 1522572805 9781522572800 (DLC) 2018023368 FWS01 ZDB-98-IGB FWS_PDA_IGB http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-7280-0 Volltext |
spellingShingle | Bubevski, Vojo, 1953- Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities Chapter 1. Six sigma -- Chapter 2. Managing credit risk in bank loan portfolio -- Chapter 3. Measuring and analysing credit risk -- Chapter 4. Managing market risk and controlling VAR -- Chapter 5. Managing liquidity risk -- Chapter 6. Managing interest rate risk -- Chapter 7. Managing foreign exchange risk -- Chapter 8. The global financial crisis 2007/2008 and financial risk management. Financial risk management. Risk management. Six sigma (Quality control standard) |
title | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities |
title_auth | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities |
title_exact_search | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities |
title_full | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities by Vojo Bubevski. |
title_fullStr | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities by Vojo Bubevski. |
title_full_unstemmed | Six sigma improvements for Basel III and Solvency II in financial risk management emerging research and opportunities by Vojo Bubevski. |
title_short | Six sigma improvements for Basel III and Solvency II in financial risk management |
title_sort | six sigma improvements for basel iii and solvency ii in financial risk management emerging research and opportunities |
title_sub | emerging research and opportunities |
topic | Financial risk management. Risk management. Six sigma (Quality control standard) |
topic_facet | Financial risk management. Risk management. Six sigma (Quality control standard) |
url | http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-5225-7280-0 |
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