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Six sigma improvements for Basel III and Solvency II in financial risk management : emerging research and opportunities

Author: Vojo Bubevski; IGI Global,
Publisher: Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : IGI Global, [2018]
Edition/Format:   eBook : Document : EnglishView all editions and formats
Summary:
"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"--
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Genre/Form: Electronic books
Additional Physical Format: Print version:
(DLC) 2018023368
Material Type: Document, Internet resource
Document Type: Internet Resource, Computer File
All Authors / Contributors: Vojo Bubevski; IGI Global,
ISBN: 9781522572817 1522572813
OCLC Number: 1051151090
Description: 1 online resource (20 PDFs (xxxviii, 235 pages))
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.
Responsibility: by Vojo Bubevski.

Abstract:

Explores the theoretical and practical aspects of Six Sigma DMAIC methods and tools to improve the financial risk management process and applications within finance, research, and software  Read more...

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