Model Risk In Financial Markets: From Financial Engineering To Risk Management

Model Risk In Financial Markets: From Financial Engineering To Risk Management
Author: Radu Sebastian Tunaru
Publisher: World Scientific
Total Pages: 382
Release: 2015-06-08
Genre: Business & Economics
ISBN: 9814663425


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The financial systems in most developed countries today build up a large amount of model risk on a daily basis. However, this is not particularly visible as the financial risk management agenda is still dominated by the subprime-liquidity crisis, the sovereign crises, and other major political events. Losses caused by model risk are hard to identify and even when they are internally identified, as such, they are most likely to be classified as normal losses due to market evolution.Model Risk in Financial Markets: From Financial Engineering to Risk Management seeks to change the current perspective on model innovation, implementation and validation. This book presents a wide perspective on model risk related to financial markets, running the gamut from financial engineering to risk management, from financial mathematics to financial statistics. It combines theory and practice, both the classical and modern concepts being introduced for financial modelling. Quantitative finance is a relatively new area of research and much has been written on various directions of research and industry applications. In this book the reader gradually learns to develop a critical view on the fundamental theories and new models being proposed.


Model Risk In Financial Markets: From Financial Engineering To Risk Management
Language: en
Pages: 382
Authors: Radu Sebastian Tunaru
Categories: Business & Economics
Type: BOOK - Published: 2015-06-08 - Publisher: World Scientific

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The financial systems in most developed countries today build up a large amount of model risk on a daily basis. However, this is not particularly visible as the
Model Risk in Financial Markets
Language: en
Pages: 353
Authors: Radu Tunaru
Categories: Business & Economics
Type: BOOK - Published: 2015 - Publisher: World Scientific Publishing Company Incorporated

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The financial systems in most developed countries today build up a large amount of model risk on a daily basis. However, this is not particularly visible as the
Practical Methods of Financial Engineering and Risk Management
Language: en
Pages: 379
Authors: Rupak Chatterjee
Categories: Business & Economics
Type: BOOK - Published: 2014-09-26 - Publisher: Apress

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Risk control, capital allocation, and realistic derivative pricing and hedging are critical concerns for major financial institutions and individual traders ali
Understanding and Managing Model Risk
Language: en
Pages: 452
Authors: Massimo Morini
Categories: Business & Economics
Type: BOOK - Published: 2011-10-20 - Publisher: John Wiley & Sons

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A guide to the validation and risk management of quantitative models used for pricing and hedging Whereas the majority of quantitative finance books focus on ma
Modeling Financial Markets
Language: en
Pages: 400
Authors: Benjamin Van Vliet
Categories: Business & Economics
Type: BOOK - Published: 2004-01-22 - Publisher: McGraw Hill Professional

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Limitations in today's software packages for financial modeling system development can threaten the viability of any system--not to mention the firm using that