透過您的圖書館登入
IP:3.147.66.178
  • 學位論文

新巴塞爾資本協定下消費金融營運風險管理 之探討 – 以台灣 "S" 外商銀行為例

A Study of Consumer Banking Operational Risk Management under The New Basel Capital Accord –An Example From A "S" Foreign Bank In Taiwan

指導教授 : 蔡政言
若您是本文的作者,可授權文章由華藝線上圖書館中協助推廣。

摘要


本篇摘要未授權

並列摘要


This abstract would not be displayed due to no authorization.

參考文獻


10. Financial Supervisory Commission, Executive Yuan website: http://www.fscey.gov.tw
A. English Reference:
1. Christopher Marshall (2000), “Measuring and Managing Operational Risks in Financial Institutions – Tools, Techniques and Other Resources”
4. “International Convergence of Capital Measurement and Capital Standards” (2004), Basel Committee on Banking Supervision
5. Jan Smets (2004. ), “Basel II and Operational Risk: Implication for Risk Measurement and Management in the financial sector”, National Bank of Belgium, Working Papers No. 51 – Research Series

延伸閱讀