Title data
Merkl, Johannes:
Kreditrisikosteuerung mit Portfoliomodellen : Funktionsweise der Modelle und Risikoanalyse eines Beispielportfolios.
Hamburg
:
Diplomica
,
2011
. - 61 p.
- (Diplom.de
)
ISBN 978-3-86341-105-3
(
Bachelor thesis,
2009
, Hochschule der Sparkassen-Finanzgruppe, Bonn)
Further data
Item Type: | Bachelor thesis |
---|---|
Institutions of the University: | Faculties Faculties > Faculty of Law, Business and Economics Faculties > Faculty of Law, Business and Economics > Department of Business Administration Faculties > Faculty of Law, Business and Economics > Department of Business Administration > Chair Business Administration I, Finance and Banking Management Faculties > Faculty of Law, Business and Economics > Department of Business Administration > Chair Business Administration I, Finance and Banking Management > Chair Business Administration I, Finance and Banking Management - Univ.-Prof. Dr. Klaus Schäfer |
Result of work at the UBT: | Yes |
DDC Subjects: | 300 Social sciences 300 Social sciences > 330 Economics |
Date Deposited: | 07 Nov 2016 13:22 |
Last Modified: | 07 Nov 2016 13:22 |
URI: | https://eref.uni-bayreuth.de/id/eprint/34522 |