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Hinführung zur Thematik und Aufbau der Arbeit

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Zusammenfassung

„Banks measure credit and market risk because they can, not because these are the biggest risks they face. Operational Risk is larger, more dangerous and no-one knows exactly how to do about it.“ Dieses Zitat spiegelt die wesentlichen Problemfelder der Handhabung der operationellen Risiken wider. Jene umschreiben neben Risiken, die auf Menschen, interne Prozesse, Systeme und externe Ereignisse zurückgehen auch Rechtsrisiken.

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  • DOI: 10.1007/978-3-658-20217-0_1
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Correspondence to Sabrina Kiszka .

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Kiszka, S. (2018). Hinführung zur Thematik und Aufbau der Arbeit. In: Die Steuerung operationeller Risiken in Kreditinstituten. BestMasters. Springer Gabler, Wiesbaden. https://doi.org/10.1007/978-3-658-20217-0_1

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  • DOI: https://doi.org/10.1007/978-3-658-20217-0_1

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  • Publisher Name: Springer Gabler, Wiesbaden

  • Print ISBN: 978-3-658-20216-3

  • Online ISBN: 978-3-658-20217-0

  • eBook Packages: Business and Economics (German Language)