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Template:Financial risk: Difference between revisions

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|list1 = {{Navbox subgroup
|list1 = {{Navbox subgroup
|group1 = [[Credit risk]]
|group1 = [[Credit risk]]
|list1 = [[Consumer Credit Risk]]{{·}} [[Concentration risk]]{{·}} [[Securitization]]{{·}} [[Credit derivative]]
|list1 = [[Consumer credit risk]]{{·}} [[Concentration risk]]{{·}} [[Securitization]]{{·}} [[Credit derivative]]


|group2 = [[Market risk]]
|group2 = [[Market risk]]
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|group2 = [[Financial risk modeling]]
|group2 = [[Financial risk modeling]]
|list2 = [[Market portfolio]]{{·}} [[Risk free interest rate|Risk-free rate]]{{·}} [[Modern portfolio theory]]{{·}} [[Risk parity]]{{·}} [[Risk adjusted return on capital|RAROC]]{{·}} [[Value at risk]]{{·}} [[Sharpe ratio]]
|list2 = [[Market portfolio]]{{·}} [[Risk-free interest rate|Risk-free rate]]{{·}} [[Modern portfolio theory]]{{·}} [[Risk parity]]{{·}} [[Risk adjusted return on capital|RAROC]]{{·}} [[Value at risk]]{{·}} [[Sharpe ratio]]


|group3 = Basic concepts
|group3 = Basic concepts

Revision as of 21:05, 25 November 2011