Jump to content

Regulatory framework for the risk management of German credit institutions

Fast facts

  • Publishment

    • 1998
  • Anthology

    Regulatory framework for the risk management of German credit institutions (Risk measurement, econometrics and neural networks)

  • Organizational unit

  • Subjects

    • Banking
  • Publication format

    Conference paper

Quote

H. Schulte-Mattler, “Regulatory framework for the risk management of German credit institutions,” in Risk measurement, econometrics and neural networks, 1998, pp. 245–258.

Notes and references

This site uses cookies to ensure the functionality of the website and to collect statistical data. You can object to the statistical collection via the data protection settings (opt-out).

Settings(Opens in a new tab)