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Analytics of Risk Model Validation

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Analytics of Risk Model Validation George A. Christodoulakis
Libristo kod: 04676596
Nakladnici Elsevier Science & Technology, listopad 2007
Risk model validation is an emerging and important area of research, and has arisen because of Basel... Cijeli opis
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Risk model validation is an emerging and important area of research, and has arisen because of Basel I and II. These regulatory initiatives require trading institutions and lending institutions to compute their reserve capital in a highly analytic way, based on the use of internal risk models. It is part of the regulatory structure that these risk models be validated both internally and externally, and there is a great shortage of information as to best practise. Editors Christodoulakis and Satchell collect papers that are beginning to appear by regulators, consultants, and academics, to provide the first collection that focuses on the quantitative side of model validation. The book covers the three main areas of risk: Credit Risk, Market and Operational Risk. Risk model validation is a requirement of Basel I and II. This is the first collection of papers in this new and developing area of research. International authors cover model validation in credit, market and operational risk.

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Informacije o knjizi

Puni naziv Analytics of Risk Model Validation
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 2007
Broj stranica 216
EAN 9780750681582
ISBN 0750681586
Libristo kod 04676596
Težina 500
Dimenzije 165 x 234 x 18
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