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  • The aim of this chapter is to show how much capital adequacy requirements can differ when using internal model method and when using standardized method. Calculations may be applied for interest rate risk and credit and operational risk calculati
  • The aim of this chapter is to show how much capital adequacy requirements can differ when using internal model method and when using standardized method. Calculations may be applied for interest rate risk and credit and operational risk calculati (en)
  • Účel této kapitoly je prokázat jak metody kapitálové přiměřenosti se mohou lišit při použití metodologie interního modelu a při aplikaci standardizované metody. Výpočty mohou být použity nejen pro úrokové sazby, ale i pro kalkulace kreditních a o (cs)
Title
  • A comparison of capital adequacy calculation methods for interest rate risk
  • Srovnávací analýza metod výpočtu kapitálové přiměřenosti pro rizika změn úrokových sazeb (cs)
  • A comparison of capital adequacy calculation methods for interest rate risk (en)
skos:prefLabel
  • A comparison of capital adequacy calculation methods for interest rate risk
  • Srovnávací analýza metod výpočtu kapitálové přiměřenosti pro rizika změn úrokových sazeb (cs)
  • A comparison of capital adequacy calculation methods for interest rate risk (en)
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  • RIV/00216208:11230/08:00107999!RIV09-GA0-11230___
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  • P(GA402/05/0067)
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  • 354098
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  • RIV/00216208:11230/08:00107999
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  • comparison; capital; adequacy; calculation; methods; interest; risk (en)
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  • [3DFE1D7B1972]
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  • Prague
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  • 1.
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  • Risk management techniques : their use and applicability in the banking sector of the Czech Republic
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  • Klobásová, Jindra
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  • Univerzita Karlova v Praze. Nakladatelství Karolinum
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  • 978-80-246-1483-0
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  • 11230
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