Works matching IS 17528887 AND DT 2019 AND VI 13 AND IP 1
Results: 9
Effective and efficient model risk management.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 47, doi. 10.69554/hpwh7467
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- Article
Editorial.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 4, doi. 10.69554/vmhv6541
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Exchange traded fund risk management and resiliency.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 59, doi. 10.69554/tdrb5524
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- Article
Revised partial use: Banking supervision on the right track.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 70, doi. 10.69554/inpd3577
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- Article
Using formal verification to develop higher assurance, more maintainable financial software.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 35, doi. 10.69554/yovq1433
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- Article
Total loss-absorbing capacity and minimum requirement for own funds and eligible liabilities: Impact of bail-in rules on balance sheet management and funding.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 81, doi. 10.69554/iegm7518
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- Article
A smarter model risk management discipline will follow from building smarter models: An abbreviated guide for designing the next generation of smart models.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 24, doi. 10.69554/nslt4913
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The evolution of model risk management processes.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 16, doi. 10.69554/nnke4155
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- Article
Thinking about theory and practice: What it means to reach effective risk management decisions in banking.
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- Journal of Risk Management in Financial Institutions, 2019, v. 13, n. 1, p. 6, doi. 10.69554/sfzh3756
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- Article