Validation of Risk Management Models for Financial Institutions: Theory and Practice (Hardcover)
 
作者: David Lynch, Iftekhar Hasan, Akhtar Siddique 
分類: Econometrics ,
Finance  
書城編號: 25703048


售價: $1680.00

購買後立即進貨, 約需 18-25 天

 
 
出版社: Cambridge University Press
出版日期: 2022/11/30
頁數: 400
重量: 0.82 kg
ISBN: 9781108497350
 
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商品簡介
Validation is an essential part of modelling risk management at financial institutions. This book provides the first unified framework for validating risk management models. It covers all of the major risk areas, including market risk, interest rate risk, retail credit risk, wholesale credit risk, compliance risk, and investment management.
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