Risk Capital Aggregation

Author:

Aas Kjersti,Dimakos Xeni K,Øksendal Anders

Publisher

Springer Science and Business Media LLC

Subject

Strategy and Management,Economics and Econometrics,Finance,Business and International Management

Reference34 articles.

1. Alexander, C. (2005). The Present and Future of Financial Risk Management. Journal of Financial Econometrics. 3, pp. 3–25.

2. Alexander, C. and Pezier, J. (2003). On the Aggregation of Market and Credit Risks. ISMA Centre Discussion Papers in Finance 2003–13.

3. Basel Committee on Banking Supervision (1995). An Internal Model-Based Approach to Market Risk Capital Requirements. Consultative Document.

4. Basel Committee on Banking Supervision (2001). Working Paper on the Regulatory Treatment of Operational Risk. Consultative Document.

5. Basel Committee on Banking Supervision (2003). Trends in Risk Integration and Aggregation. Joint Forum Working Group report.

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