Publication:
Bank risk management in emerging markets after the enhanced Basel rules

dc.contributor.coauthorCandan, Hasan
dc.contributor.departmentGraduate School of Business
dc.contributor.kuauthorÖzün, Alper
dc.contributor.schoolcollegeinstituteGRADUATE SCHOOL OF BUSINESS
dc.date.accessioned2024-11-09T23:43:43Z
dc.date.issued2011
dc.description.indexedbyScopus
dc.description.openaccessYES
dc.description.publisherscopeInternational
dc.description.sponsoredbyTubitakEuN/A
dc.identifier.doi10.1142/9789814354998_0001
dc.identifier.isbn9789-8143-5499-8
dc.identifier.isbn9814-3549-88
dc.identifier.isbn9789-8143-5498-1
dc.identifier.quartileN/A
dc.identifier.scopus2-s2.0-84973414818
dc.identifier.urihttps://doi.org/10.1142/9789814354998_0001
dc.identifier.urihttps://hdl.handle.net/20.500.14288/13544
dc.language.isoeng
dc.publisherWorld Scientific Publishing Co.
dc.relation.ispartofThe Risk of Investment Products: From Product Innovation to Risk Compliance
dc.subjectFinance
dc.subjectManagement
dc.subjectMarket
dc.titleBank risk management in emerging markets after the enhanced Basel rules
dc.typeBook Chapter
dspace.entity.typePublication
local.contributor.kuauthorÖzün, Alper
local.publication.orgunit1GRADUATE SCHOOL OF BUSINESS
local.publication.orgunit2Graduate School of Business
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