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literatur.bib
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@www{ATOM.07,
author = {{AtomEnabled Alliance}},
year = {2007},
title = {Atom Syndication Format - Introduction},
url = {\url{http://www.atomenabled.org/developers/syndication/}},
urldate = {1.05.2012}
}
@book{Bar.08,
year = {2008},
title = {Handbuch Liquidit{\"a}tsrisiko: Identifikation, Messung und Steuerung},
address = {Stuttgart},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn}
}
@incollection{Bar-A.08,
author = {Bartetzky, Peter},
title = {Liquidit{\"a}tsrisikomanagement: Status quo},
pages = {1--27},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn},
booktitle = {Handbuch Liquidit{\"a}tsrisiko},
year = {2008},
address = {Stuttgart}
}
@incollection{Bar-C.08,
author = {Rehsmann, Stefan and Martin, Marcus},
title = {Neuerungen in der aufsichtsrechtlichen Behandlung des Liquidit{\"a}tsrisikos},
pages = {51--75},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn},
booktitle = {Handbuch Liquidit{\"a}tsrisiko},
year = {2008},
address = {Stuttgart}
}
@incollection{Bar-D.08,
author = {Sauerbier, Peter and Thomae, Holger and Wehn, Carsten},
title = {Praktische Aspekte der~Abbildung von Finanzprodukten im Rahmen des Liquidit{\"a}tsrisikos},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn},
booktitle = {Handbuch Liquidit{\"a}tsrisiko},
year = {2008},
address = {Stuttgart}
}
@incollection{Bar-H.08,
author = {Heuter, Hennig and Sch{\"a}ffer, Christian and Gruber, Walter},
title = {Einbettung der Liquidit{\"a}tssteuerung in die~Gesamtbanksteuerung},
pages = {193--229},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn},
booktitle = {Handbuch Liquidit{\"a}tsrisiko},
year = {2008},
address = {Stuttgart}
}
@incollection{Bar-J.08,
author = {Schr{\"o}ter, Dirk and Schwarz, Oliver},
title = {Optimale Strukturen und Prozesse f{\"u}r das Liquidit{\"a}tsrisikomanagement},
pages = {247--278},
publisher = {Sch{\"a}ffer-Poeschel},
isbn = {978-3-7910-2747-0},
editor = {Bartetzky, Peter and Gruber, Walter and Carsten, Wehn},
booktitle = {Handbuch Liquidit{\"a}tsrisiko},
year = {2008},
address = {Stuttgart}
}
@www{BIS.10,
author = {{Basler Ausschuss f{\"u}r Bankenaufsicht}},
year = {2010},
title = {Basel III: Internationale Rahmenvereinbarung {\"u}ber Messung, Standards und {\"U}berwachung in Bezug auf das Liquidit{\"a}tsrisiko},
url = {\url{http://www.bis.org/publ/bcbs188_de.pdf}},
urldate = {1.5.2012}
}
@book{DD.08,
author = {Deitel, Paul and Deitel, Harvey},
year = {2008},
title = {Ajax, rich Internet applications, and web development for programmers},
keywords = {Ajax (Web site development technology);Web site development;Web sites;JavaScript (Computer program language)},
address = {Upper Saddle River},
publisher = {Prentice Hall},
isbn = {978-0-1315-8738-0}
}
@book{Dur.11,
author = {D{\"u}rrnagel, Christoph},
year = {2011},
title = {Management des Liquidit{\"a}tsrisikos in Banken: Analyse und Beurteilung der Methoden zur Liquidit{\"a}tsrisikomessung unter Ber{\"u}cksichtigung bankaufsichtlicher Richtlinien},
address = {Hamburg},
publisher = {Diplomica},
isbn = {978-3-8428-6186-2}
}
@book{Egg.09,
author = {Egger, Norbert},
year = {2009},
title = {Reporting und Analyse mit SAP BusinessObjects},
address = {Bonn},
publisher = {Galileo Press},
isbn = {978-3-8362-1380-6}
}
@book{Eve.08,
year = {2008},
title = {Bankrisikomanagement: Mindestanforderungen, Instrumente und Strategien f{\"u}r Banken},
address = {Wiesbaden},
publisher = {Gabler},
isbn = {978-3-8349-0512-3},
editor = {Everling, Oliver}
}
@incollection{Eve-A.08,
author = {Sch{\"o}nig, Stephan},
title = {Liquidit{\"a}tsrisikomanagement in Kreditinstituten vor dem Hintergrund ge{\"a}nderter aufsichtlicher Anforderungen},
pages = {232--249},
publisher = {Gabler},
isbn = {978-3-8349-0512-3},
editor = {Everling, Oliver},
booktitle = {Bankrisikomanagement},
year = {2008},
address = {Wiesbaden}
}
@www{HANA.12,
author = {{SAP AG}},
year = {2012},
title = {SAP~HANA~Overview},
url = {\url{http://www.sap.com/hana/overview/index.epx}},
urldate = {1.5.2012}
}
@www{HANADev.11,
author = {SAP~AG},
year = {2011},
title = {SAP HANA Database: Development Guide},
url = {\url{http://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/b053ef1a-e6e1-2e10-01b0-91c13e715595?QuickLink=index&overridelayout=true&52591874602573}},
urldate = {1.5.2012}
}
@book{Hof.11,
year = {2011},
title = {Basel III und MaRisk: Regulatorische Vorgaben, bankeninterne~Verfahren, Risikomanagement},
address = {Frankfurt am Main},
publisher = {Frankfurt School},
isbn = {978-3-9409-1323-4},
editor = {Hofmann, Gerhard}
}
@incollection{Hof-A.11,
author = {Paul, Stephan},
title = {Qualitative Bankenaufsicht in der Marktwirtschaft: Theoretische Einordnung und empirische Befunde},
pages = {455--485},
publisher = {Frankfurt School},
isbn = {978-3-9409-1323-4},
editor = {Hofmann, Gerhard},
booktitle = {Basel III und MaRisk},
year = {2011},
address = {Frankfurt am Main}
}
@incollection{Hof-B.11,
author = {Paul, Stephan},
title = {Umbruch der Bankenregulierung: Die Entwicklung des Basler~Regelwerks im~{\"U}berblick},
pages = {9--63},
publisher = {Frankfurt School},
isbn = {978-3-9409-1323-4},
editor = {Hofmann, Gerhard},
booktitle = {Basel III und MaRisk},
year = {2011},
address = {Frankfurt am Main}
}
@book{Hue.04,
author = {Huelmann, Frank},
year = {2004},
title = {Baseler Eigenkapitalvereinbarung: Basel I/II},
keywords = {Klein- und Mittelbetrieb;Bonit{\"a}t;Rating},
address = {Norderstedt},
publisher = {Books on Demand GmbH},
isbn = {978-3-8334-0398-9}
}
@book{Hul.10,
author = {Hull, John},
year = {2010},
title = {Risikomanagement in Banken und Finanzinstituten},
address = {M{\"u}nchen},
edition = {2.},
publisher = {Pearson Studium},
isbn = {978-3-8689-4043-5}
}
@book{Kle.10,
author = {Kleis, Wolfram},
year = {2010},
title = {SAP In-Memory Computing Engine: SAP Architecture Bluebook},
address = {Walldorf}
}
@book{Lou.10,
author = {Louis, Dirk},
year = {2010},
title = {Visual C++ 2010: Das umfassende Handbuch f{\"u}r Programmierer},
address = {M{\"u}nchen},
publisher = {Addison-Wesley},
isbn = {978-3-8273-2901-1}
}
@misc{LRM-PPT.12,
author = {Freudenberger, Philipp},
year = {2012},
title = {Liquidity Risk Management 1.0: powered by SAP~HANA},
address = {Walldorf}
}
@book{Moc.07,
author = {Moch, Nils},
year = {2007},
title = {Liquidit{\"a}tsrisikomanagement in Kreditinstituten: Eine kritische Analyse des Status quo in kleineren Kreditinstituten unter Ber{\"u}cksichtigung regulativer und betriebswirtschaftlicher Anforderungen},
keywords = {Bank;Liquidit{\"a}tsrisiko;Risikomanagement;Liquidit{\"a}t},
address = {K{\"o}ln},
publisher = {Eul},
isbn = {978-3-8993-6635-8}
}
@book{Moo.07,
author = {Moock, Colin},
year = {2007},
title = {Essential ActionScript 3.0},
address = {K{\"o}ln},
publisher = {O'Reilly},
isbn = {978-0-5965-2694-8}
}
@unpublished{NGAP-FS,
author = {{SAP AG}},
year = {2012},
title = {Next-Generation ABAP~Platform: Product Information Sheet}
}
@misc{NGAP-V1,
author = {Hartig, Martin},
year = {2010},
title = {NGAP 1.0 at a Glance},
urldate = {01.03.2012}
}
@misc{NGAP-V2,
author = {Batzdorf, Stefan and Mielenhausen, Bj{\"o}rn and Hillenbrand, Thea},
year = {2010},
title = {NGAP 2.0 at a Glance},
urldate = {01.03.2012}
}
@misc{Oberon-A,
author = {{SAP AG}},
year = {2012},
title = {Oberon: Internal Wiki},
url = {\url{https://wiki.wdf.sap.corp/wiki/display/Oberon/General+Oberon+FAQs}},
urldate = {2.3.2012}
}
@book{Pfe.09,
author = {Pfeil, Christian},
year = {2009},
title = {Adobe AIR: RIAs f{\"u}r den Destop entwickeln},
keywords = {Adobe AIR},
address = {M{\"u}nchen},
publisher = {Addison-Wesley},
isbn = {978-3-8273-2737-6}
}
@book{Poh.08,
author = {Pohl, Michael},
year = {2008},
title = {Das Liquidit{\"a}tsrisiko in Banken: Ans{\"a}tze zur Messung und ertragsorientierten Steuerung},
keywords = {Bank;Liquidit{\"a}tsrisiko;Risikomanagement;Betriebliche Liquidit{\"a}t;Kostenrechnung;Bankmanagement;Bankenliquidit{\"a}t;Theorie;Liquidit{\"a}t;Bank - Liquidit{\"a}tsrisiko - Risikomanagement},
address = {Frankfurt am Main},
publisher = {Knapp},
isbn = {978-3-8314-0828-3}
}
@book{PZ.11,
author = {Plattner, Hasso and Zeier, Alexander},
year = {2011},
title = {In-memory data management: An inflection point for enterprise applications},
address = {Heidelberg},
publisher = {Springer},
isbn = {978-3-6421-9363-7}
}
@book{Rom.10,
year = {2010},
title = {Die Bankenkrise: Ursachen und Folgen im Risikomanagement},
address = {K{\"o}ln},
publisher = {Bank-Verlag Medien},
isbn = {978-3-8655-6230-2},
editor = {Romeike, Frank}
}
@incollection{Rom-A.10,
author = {Romeike, Frank},
title = {Chronologie der Subpprime-Krise},
pages = {13--57},
publisher = {Bank-Verlag Medien},
isbn = {978-3-8655-6230-2},
editor = {Romeike, Frank},
booktitle = {Die Bankenkrise},
year = {2010},
address = {K{\"o}ln}
}
@incollection{Rom-B.10,
author = {Glei{\ss}ner, Werner and Romeike, Frank},
title = {Risikoblindheit und Methodikschw{\"a}chen im Risikomanagement},
pages = {59--88},
publisher = {Bank-Verlag Medien},
isbn = {978-3-8655-6230-2},
editor = {Romeike, Frank},
booktitle = {Die Bankenkrise},
year = {2010},
address = {K{\"o}ln}
}
@incollection{Rom-F.10,
author = {Zeranski, Stefan},
title = {Implikationen auf die Weiterentwicklung des Liquidit{\"a}tsrisikocontrollings},
pages = {163--195},
publisher = {Bank-Verlag Medien},
isbn = {978-3-8655-6230-2},
editor = {Romeike, Frank},
booktitle = {Die Bankenkrise},
year = {2010},
address = {K{\"o}ln}
}
@book{RRD.07,
author = {Richardson, Leonard and Ruby, Sam and Demmig, Thomas},
year = {2007},
title = {Web-Services mit REST},
address = {K{\"o}ln},
publisher = {O'Reilly},
isbn = {978-3-8972-1727-0}
}
@book{Sch.11,
author = {Schrand, Timo},
year = {2011},
title = {Die Finanzmarktkrise- Bank-Run und Regulierung des Bankensystems},
url = {\url{http://books.google.de/books?id=618l6x1z6H8C}},
address = {M{\"u}nchen},
publisher = {GRIN Verlag GmbH},
isbn = {978-3-6409-2003-7}
}
@book{SLK.08,
author = {Schierenbeck, Henner and Lister, Michael and Kirmsse, Stefan},
year = {2008},
title = {Risiko-controlling und integrierte Rendite-, Risikosteuerung},
keywords = {Bankbetriebslehre;Bank;Controlling;Management;Risiko;Risikomanagement},
address = {Wiesbaden},
edition = {9.},
publisher = {Gabler},
isbn = {978-3-8349-0447-8}
}
@www{SQLScript.11,
author = {{SAP AG}},
year = {2011},
title = {SAP HANA Database: SQLScript Guide},
url = {\url{http://www.sdn.sap.com/irj/sdn/go/portal/prtroot/docs/library/uuid/20514d3c-f4e1-2e10-55a5-dc9a3efc0639?QuickLink=index&overridelayout=true&52591874613119}},
urldate = {1.5.2012}
}
@misc{Universe.06,
author = {{SAP AG}},
year = {2006},
title = {BusinessObjects: Universumserstellung},
address = {Walldorf}
}
@book{Wil.10,
author = {Wildmann, Lothar},
year = {2010},
title = {Makro{\"o}konomie, Geld und W{\"a}hrung},
keywords = {Makro{\"o}konomie;Geldtheorie},
address = {M{\"u}nchen},
edition = {2.},
publisher = {Oldenbourg},
isbn = {978-3-4867-0240-8}
}
@misc{Xcelsius-Arch.09,
author = {Kerth, Rainer and Huang, Tim and Zheng, Guo Zhu and Calderon, Jesse},
year = {2009},
title = {Xcelsius: High Level~Architecture},
address = {Walldorf}
}
@misc{Xcelsius-SDK.08,
author = {MacCormick, Donald},
year = {2008},
title = {An introduction to the power of the Xcelsius SDK: Recorded Session},
address = {Paris}
}
@book{Zer.05,
author = {Zeranski, Stefan},
year = {2005},
title = {Liquidity at risk zur Steuerung des liquidit{\"a}tsm{\"a}ssig-finanziellen Bereiches von Kreditinstituten},
keywords = {Liquidit{\"a}tsrisiko;Bank;Liquidit{\"a}tsplanung},
address = {Chemnitz},
publisher = {GUC, Verl. der Ges. f{\"u}r Unternehmensrechnung und Controlling},
isbn = {978-3-9342-3535-9}
}
@book{Zer.10,
year = {2010},
title = {Ertragsorientiertes Liquidit{\"a}tsrisikomanagement: in mittelst{\"a}ndischen Banken},
address = {Heidelberg},
edition = {2.},
publisher = {Finanz-Colloquium},
isbn = {978-3-9369-7499-7},
editor = {Zeranski, Stefan}
}
@incollection{Zer-A.10,
author = {Dietz, Thomas},
title = {Liquidit{\"a}tsrisikomanagement in Banken und die Finanzkrise aus Sicht der~Bankenaufsicht},
pages = {7--81},
publisher = {Finanz-Colloquium},
isbn = {978-3-9369-7499-7},
editor = {Zeranski, Stefan},
booktitle = {Ertragsorientiertes Liquidit{\"a}tsrisikomanagement},
year = {2010},
address = {Heidelberg}
}
@incollection{Zer-B.10,
author = {Albert, Anja},
title = {Bankenaufsichtliche Regulierung des Liquidit{\"a}tsrisikomanagements},
pages = {85--199},
publisher = {Finanz-Colloquium},
isbn = {978-3-9369-7499-7},
editor = {Zeranski, Stefan},
booktitle = {Ertragsorientiertes Liquidit{\"a}tsrisikomanagement},
year = {2010},
address = {Heidelberg}
}