2010Unpublished venueRequires access

Rate of Return and Financial Risk

Tomáš Cipra

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Abstract

Chapter 12 is devoted to problems related to financial risk: 12.1. Rate of return, 12.2. Financial risk, 12.3. Value at risk VaR, 12.4. Credit at risk CaR. These keywords were added by machine and not by the authors. This process is experimental and the keywords may be updated as the learning algorithm improves.

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What this paper is about

Chapter 12 is devoted to problems related to financial risk: 12.1. Rate of return, 12.2. Financial risk, 12.3. Value at risk VaR, 12.4. Credit at risk CaR. These keywords were added by machine and not by the authors. This process is experimental and the keywords may be updated as the learning algorithm improves.

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Available abstract

Chapter 12 is devoted to problems related to financial risk: 12.1. Rate of return, 12.2. Financial risk, 12.3. Value at risk VaR, 12.4. Credit at risk CaR. These keywords were added by machine and not by the authors. This process is experimental and the keywords may be updated as the learning algorithm improves.

Key concepts: Rate of return, Financial risk, Business, Economics, Finance

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