By Christian Brigadski
Das fünfte Kapitel beschäftigt sich mit den Grundlagen der Quantifizierung operationeller Risiken und gibt zunächst einen Überblick über die verschiedenen Ansätze zur Bewertung des operationellen Risikos. Im weiteren Verlauf des Kapitels wird das Grundprinzip eines statistischversicherungsmathematischen Ansatzes (Value-at-Risk Ansatz) zur Bewertung operationeller Risiken erläutert und es erfolgt eine kurze Betrachtung der im dritten Konsultationspapier des Baselers Ausschuss für Bankenaufsicht vorgeschlagenen Quantifizierungsmethoden. Das letzte Kapital befasst sich kurz mit der Risikosteuerung und der Risikokontrolle.
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