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Preparation And Management Of Commercial Bank's Investment Portfolio
Details
Bank's Investment Portfolio is very sensitive barometer of external politic and economic factors. The present book focuses first, on the definition of investment portfolio structure.Secondly, focus was put on the methodology of optimization,especially MGARCH models and Optimization Mean-Variance.The experimental campaign to obtain the effects of regulation interventions in Greece about the period of debt crisis.Thirdly, based on the experimental results obtained, econometric model was constructed for tree countries-Greece,Germany,France. This was obtained on the constructing of multi GARCH model to describe the correlations and volatility of these markets. Finally the last part of the study focuses on the problems in Bulgaria and her banking sector. The modelling includes elements of three science disciplines -banking,international finance and investment portfolio management.
Autorentext
Bozhana Venediktova is economist graduated in UNWE,Sofia,Bulgaria. She got her master at VTU,Veliko Tarnovo,Bulgaria in 2007. A couple of years later she enrolled on her PhD, at UNWE,in Sofia, Bulgaria, which is the focus of this book. Prof.El.Thalassinos was her reviewer,respectively.
Weitere Informationen
- Allgemeine Informationen
- GTIN 09783639700886
- Editor Daniela Staneva-Petkova
- Sprache Englisch
- Genre Economy
- Größe H220mm x B150mm x T16mm
- Jahr 2015
- EAN 9783639700886
- Format Kartonierter Einband
- ISBN 3639700880
- Veröffentlichung 26.06.2015
- Titel Preparation And Management Of Commercial Bank's Investment Portfolio
- Autor Bozhana Venediktova
- Untertitel he example of the Greek banking sector
- Gewicht 399g
- Herausgeber Scholars' Press
- Anzahl Seiten 256