Optimal risk-return trade-offs of commercial banks and the suitability of profitability measures for loan portfolios

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Bibliographic Details
Main Author: Kuhn, Jochen
Format: Unknown
Published: Berlin Springer-Verlag 2006
Series:Lecture notes in economics and mathematical systems 578
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Online Access:Click Here to View Status and Holdings.
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020 # # |a 9783540348191 
040 # # |a LWU  |d ITMB 
090 0 0 |a HG4529.5  |b K84 2006 
100 1 # |a Kuhn, Jochen 
245 1 0 |a Optimal risk-return trade-offs of commercial banks  |b and the suitability of profitability measures for loan portfolios  |c Jochen Kèuhn 
260 # # |a Berlin  |b Springer-Verlag  |c 2006 
300 # # |a ix, 149 p.  |b ill.  |c 24 cm 
490 1 # |a Lecture notes in economics and mathematical systems  |v 578  |x 0075-8442 
500 # # |a Originally presented as the author's thesis (doctoral) 
504 # # |a Includes bibliographical references (p. [141]-149) 
650 # 0 |a Risk management  |x Mathematical models 
650 # 0 |a Investments  |x Mathematical models 
650 # 0 |a Portfolio management  |x Mathematical models 
830 # 1 |a Lecture notes in economics and mathematical systems  |v 578 
856 4 0 |z Click Here to View Status and Holdings.  |u https://opac.uitm.edu.my/opac/detailsPage/detailsHome.jsp?tid=370674 
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