A methodology for actively managing tail risks and uncertainties.
Autor: | Broeders, Dirk1 d.w.g.a.broeders@dnb.nl, Loman, Herwin1 h.loman@dnb.nl, van Toor, Joris2 j.a.c.van.toor@dnb.nl |
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Zdroj: | Journal of Risk Management in Financial Institutions. Winter2018/2019, Vol. 12 Issue 1, p44-56. 13p. |
Databáze: | Business Source Ultimate |
Externí odkaz: |