Toggle navigation
Campus Access
About MPG.eBooks
Skip to content
Search Tips
Home
>
Search: "Financial Risk And Risk Management"
Language
English
Deutsch
Español
Français
Italiano
日本語
Nederlands
Português
Português (Brasil)
中文(简体)
中文(繁體)
Türkçe
עברית
Gaeilge
Cymraeg
Ελληνικά
Català
Euskara
Русский
Čeština
Suomi
Svenska
polski
Dansk
slovenščina
اللغة العربية
বাংলা
Galego
Tiếng Việt
Hrvatski
हिंदी
All Fields
Title
Person
Topic
ISBN/ISSN
Year
Collection
Advanced
Retain my current filters
author_facet:"Jobst, Andreas"
dewey-ones:"330 - Economics"
product_txtF_mv:"International Monetary Fund"
Showing
1
-
11
of
11
Search:
'"Financial Risk And Risk Management"'
,
query time: 0.21s
Book List
0
Sort:
Relevance
Year Descending
Year Ascending
Author
Title
Read Now
1
Consistent Quantitative Operational Risk Measurement and Regulation : Challenges of Model Specification, Data Collection and Loss Reporting
by
Jobst, Andreas
Published 2007
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
2
Macroprudential Liquidity Stress Testing in FSAPs for Systemically Important Financial Systems
by
Jobst, Andreas
Published 2017
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
3
Macroprudential Solvency Stress Testing of the Insurance Sector
by
Jobst, Andreas
Published 2014
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
4
A Framework for Macroprudential Bank Solvency Stress Testing : Application to S-25 and Other G-20 Country FSAPs
by
Jobst, Andreas
Published 2013
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
5
The Nature of Islamic Banking and Solvency Stress Testing - Conceptual Considerations
by
Jobst, Andreas
Published 2020
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
6
Developing Asean5 Bond Markets : What Still Needs to Be Done?
by
Gray, Simon
Published 2011
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
7
COVID-19: How Will European Banks Fare?
by
Aiyar, Shekhar
Published 2021
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
8
Operative Principles of Islamic Derivatives : Towards a Coherent Theory
by
Sole, Juan
Published 2012
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
9
Measuring Systemic Risk-Adjusted Liquidity (SRL) : A Model Approach
by
Jobst, Andreas
Published 2012
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
10
Sovereign Risk in Macroprudential Solvency Stress Testing
by
Jobst, Andreas
Published 2019
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Read Now
11
Operational Risk : The Sting is Still in the Tail But the Poison Dependson the Dose
by
Jobst, Andreas
Published 2007
International Monetary Fund
Subjects:
“
...
Financial
Risk
and
Risk
Management
...
”
Back
Narrow Search
Remove Filters
Clear Filter
Author: Jobst, Andreas
Clear Filter
Classification: 330 - Economics
Clear Filter
Collection: International Monetary Fund
Year of Publication
From:
To:
Classification
330 - Economics
Language
English
11
Collection
International Monetary Fund
Author
Jobst, Andreas
Ong, Li
2
Schmieder, Christian
2
Sole, Juan
2
Aiyar, Shekhar
1
Broszeit, Timo
1
more ...
Carvajal, Ana
1
Dao, Mai
1
Felman, Joshua
1
Gray, Simon
1
Mineshima, Aiko
1
Oura, Hiroko
1
Sugimoto, Nobuyasu
1
see all ...
less ...
Search Tools
Get RSS Feed
Share Search
https://ebooks.mpdl.mpg.de/ebooks/Search/Results?filter%5B%5D=author_facet%3A%22Jobst%2C+Andreas%22&filter%5B%5D=dewey-ones%3A%22330+-+Economics%22&filter%5B%5D=product_txtF_mv%3A%22International+Monetary+Fund%22&lookfor=%22Financial+Risk+And+Risk+Management%22&type=Subject
Send by Email
×
Loading...