Bc. Michal Lovrant
Master's thesis
Základy modelovania rizika
Risk modeling basics
Abstract:
Our thesis focuses on risk identification, modeling and management basics. The first chapter brings overview of currently known risk types. The second one, considered the major part in theoretical description, discusses methods of risk analysis, quantitative and qualitative measurements, and risk management. The third chapter studies risk analysis and modeling of two selected commercial banks in Slovakia …moreAbstract:
Práca pojednáva o základoch identifikácie, modelovania a riadenia rizika. Z práce sa dozvedáme, že sú to všetko termíny blízko spojené. Prvá kapitola definuje pojem riziko a prináša prehľad známych typov rizík. Druhá, čo sa týka teoretického vymedzenia nosná kapitola, pojednáva o metódach analýzy rizík, zavádza kvantitatívne a kvalitatívne ukazovatele a približuje spôsob riadenia rizík. Tretia kapitola …more
Language used: Slovak
Date on which the thesis was submitted / produced: 26. 5. 2010
Identifier:
https://is.ambis.cz/th/xcvpj/
Thesis defence
- Date of defence: 10. 6. 2010
- Supervisor: Ing. Mária Kanderová, PhD.
- Reader: Prof. Ing. Juraj Nemec, CSc.
Citation record
ISO 690-compliant citation record:
LOVRANT, Michal. \textit{Základy modelovania rizika}. Online. Master's thesis. Praha: The College of Regional Development and Banking Institute - AMBIS, a.s., Banking Institute/College of Banking SK. 2010. Available from: https://theses.cz/id/ak1ms0/.
Full text of thesis
Contents of on-line thesis archive
Published in Theses:- světu
Other ways of accessing the text
Institution archiving the thesis and making it accessible: Vysoká škola regionálního rozvoje a Bankovní institut – AMBIS, Bankovní institut vysoká škola SKBanking Institute/College of Banking
Banking Institute/College of Banking SKMaster programme / field:
Economics and Management / Finance
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